Companies
Ranked by what the funds in this base hold of them, converted at European Central Bank rates, on the date of each filing.
28,459 in total
| Rank | Company | Holders | Value |
|---|---|---|---|
| 11,701 | Central China Securities Co Ltd CNE100001SS7 · Hong Kong SAR China · 2 listed lines | 24 | 19.6M $ |
| 11,702 | Safari Industries India Ltd INE429E01023 · India | 30 | 19.6M $ |
| 11,703 | Lumosa Therapeutics Co Ltd TW0006535008 · Taiwan | 12 | 19.6M $ |
| 11,704 | EverCommerce Inc US29977X1054 · United States | 85 | 19.5M $ |
| 11,705 | Mrs Bectors Food Specialities Ltd INE495P01020 · India | 29 | 19.6M $ |
| 11,706 | Yihai Kerry Arawana Holdings Co Ltd CNE1000048D3 · China | 15 | 19.6M $ |
| 11,707 | Maharashtra Scooters Ltd INE288A01013 · India | 24 | 19.5M $ |
| 11,708 | Pacer US Small Cap Cash Cows E US69374H8575 · United States | 1 | 19.6M $ |
| 11,709 | Addiko Bank AG AT000ADDIKO0 · Austria | 14 | 19.2M $ |
| 11,710 | Journey Medical Corp US48115J1097 · United States | 68 | 19.3M $ |
| 11,711 | AEON Thana Sinsap Thailand PCL TH0664010Z11 · Thailand · 2 listed lines | 25 | 19.4M $ |
| 11,712 | CuriosityStream Inc US23130Q1076 · United States | 114 | 19.3M $ |
| 11,713 | UEM Sunrise Bhd MYL5148OO001 · Malaysia | 37 | 19.5M $ |
| 11,714 | MML SMALL CAP GROWTH EQUITY FD US5530972059 · United States | 5 | 19.2M $ |
| 11,715 | Nationwide Mutual Funds US63868C5994 · United States | 1 | 19.2M $ |
| 11,716 | Raubex Group Ltd ZAE000093183 · South Africa | 26 | 19.4M $ |
| 11,717 | Raisio Oyj FI0009002943 · Finland | 32 | 19.4M $ |
| 11,718 | Clobot Co Ltd KR7466100005 · South Korea | 11 | 19.4M $ |
| 11,719 | Delfi Ltd SG1Q25921608 · Singapore | 34 | 19.4M $ |
| 11,720 | Roundhill MSFT WeeklyPay ETF US77926X7342 · United States | 1 | 19.1M $ |
| 11,721 | Weebit Nano Ltd AU000000WBT5 · Australia | 10 | 19.4M $ |
| 11,722 | JBM Auto Ltd INE927D01051 · India | 31 | 19.5M $ |
| 11,723 | Tokushu Tokai Paper Co Ltd JP3624900001 · Japan | 36 | 19.4M $ |
| 11,724 | Shibusawa Logistics Corp JP3355600002 · Japan | 29 | 19.4M $ |
| 11,725 | YieldMax Crypto Industry & Tec US88636R7272 · United States | 2 | 19.5M $ |
| 11,726 | A'ayan Leasing & Investment Co KSCP KW0EQ0200786 · Kuwait | 27 | 19.4M $ |
| 11,727 | PGIM ETF Trust US69344A7019 · United States | 1 | 19.4M $ |
| 11,728 | Taiwan-Asia Semiconductor Corp TW0002340007 · Taiwan | 17 | 19.4M $ |
| 11,729 | Bohai Leasing Co Ltd CNE0000009B1 · China | 26 | 19.4M $ |
| 11,730 | Medikit Co Ltd JP3921060004 · Japan | 14 | 19.4M $ |
| 11,731 | Shanghai Construction Group Co Ltd CNE000000WR4 · China | 30 | 19.3M $ |
| 11,732 | PIMCO Access Income Fund US72203T1007 · United States | 3 | 19.1M $ |
| 11,733 | Chengtun Mining Group Co Ltd CNE000000KN8 · China | 26 | 19.4M $ |
| 11,734 | GWA Group Ltd AU000000GWA4 · Australia | 40 | 19.3M $ |
| 11,735 | Comstock Inc US2057504092 · United States | 30 | 19.1M $ |
| 11,736 | GMO Systematic Investment Grade Credit ETF US90139K5065 · United States | 1 | 19.5M $ |
| 11,737 | ATRenew Inc US00138L1089 · Cayman Islands | 19 | 19.2M $ |
| 11,738 | Konfoong Materials International Co Ltd CNE100002NL1 · China | 16 | 19.3M $ |
| 11,739 | K Wah International Holdings Ltd BMG5321P1169 · Hong Kong SAR China | 26 | 19.3M $ |
| 11,740 | VP Bank Securities Ltd Co VN000000VPX0 · Vietnam | 5 | 19.2M $ |
| 11,741 | Pacer US Cash Cows Growth ETF US69374H6678 · United States | 1 | 19.3M $ |
| 11,742 | Nishikawa Rubber Co Ltd JP3657550004 · Japan | 22 | 19.2M $ |
| 11,743 | Anjoy Foods Group Co Ltd CNE100002YQ7 · China | 34 | 19.2M $ |
| 11,744 | DHI Group Inc US23331S1006 · United States | 40 | 19.2M $ |
| 11,745 | Nkarta Inc US65487U1088 · United States | 105 | 19M $ |
| 11,746 | BOE Technology Group Co Ltd CNE000000R44 · China | 12 | 19.2M $ |
| 11,747 | YouGov PLC GB00B1VQ6H25 · United Kingdom | 18 | 19.2M $ |
| 11,748 | Eaton Vance Strategic Income F US2779235793 · United States | 1 | 18.9M $ |
| 11,749 | Sinopec Oilfield Service Corp CNE1000004D6 · Hong Kong SAR China · 2 listed lines | 23 | 19.2M $ |
| 11,750 | Power Finance Corporation Ltd. INE134E08JX9 · India | 1 | 18.9M $ |
| 11,751 | SMARTOPTICS GROUP ASA NO0011012502 · Norway | 9 | 18.9M $ |
| 11,752 | Bumi Serpong Damai Tbk PT ID1000110802 · Indonesia | 41 | 19.2M $ |
| 11,753 | SBI Dynamic Bond Fund - Direct Plan - Growth Option INF200K01RD4 · India | 1 | 18.8M $ |
| 11,754 | Do-Fluoride New Materials Co Ltd CNE100000P85 · China | 27 | 19.1M $ |
| 11,755 | China Yongda Automobiles Services Holdings Ltd KYG2162W1024 · Cayman Islands | 34 | 19.2M $ |
| 11,756 | Toyo Engineering Corp JP3607800004 · Japan | 17 | 19.1M $ |
| 11,757 | 3IQ CORP CA88428J1075 · Canada | 3 | 18.9M $ |
| 11,758 | Chief Telecom Inc TW0006561004 · Taiwan | 26 | 19.2M $ |
| 11,759 | OQ Exploration & Production SAOG OM0000009759 · Oman | 2 | 19.2M $ |
| 11,760 | Xtrackers ETC PLC DE000A2T5DZ1 · Germany | 7 | 19.2M $ |
| 11,761 | Qilu Bank Co Ltd CNE100005154 · China | 9 | 19M $ |
| 11,762 | Neuberger Next Generation Connectivity Fund Inc. US64133Q1085 · United States | 6 | 19.1M $ |
| 11,763 | Run Long Construction Co Ltd TW0001808004 · Taiwan | 24 | 19.1M $ |
| 11,764 | Pacer Developed Markets Intern US69374H8732 · United States | 1 | 19.1M $ |
| 11,765 | Pacer Funds Trust US69374H8815 · United States | 2 | 19.1M $ |
| 11,766 | Cargojet Inc CA14179V5036 · Canada | 23 | 19M $ |
| 11,767 | Mirarth Holdings Inc JP3460800000 · Japan | 36 | 19.1M $ |
| 11,768 | Blackrock Science & Technology Trust US09258G1040 · United States | 3 | 19.3M $ |
| 11,769 | Avant Group Corp JP3548680002 · Japan | 42 | 19.1M $ |
| 11,770 | Cia de Ferro Ligas da Bahia FERBASA BRFESAACNPR5 · Brazil | 94 | 19.1M $ |
| 11,771 | G2GBIO Inc KR7456160001 · South Korea | 6 | 19M $ |
| 11,772 | ES-Con Japan Ltd JP3688330004 · Japan | 43 | 19M $ |
| 11,773 | OSTKOM 2.273 09/18/29 SE0013885050 · Sweden | 1 | 18.7M $ |
| 11,774 | Mastek Ltd INE759A01021 · India | 28 | 19.1M $ |
| 11,775 | VersaBank CA92512J1066 · Canada | 26 | 18.9M $ |
| 11,776 | Angel Yeast Co Ltd CNE0000014G0 · China | 47 | 19M $ |
| 11,777 | PNE AG DE000A0JBPG2 · Germany | 28 | 19M $ |
| 11,778 | Eaton Vance Tax-Managed Diversified Equity Income Fund US27828N1028 · United States | 1 | 19.2M $ |
| 11,779 | Shanghai Zhenhua Heavy Industries Co Ltd CNE000001683 · China · 2 listed lines | 26 | 19M $ |
| 11,780 | Saniona AB SE0005794617 · Denmark | 22 | 18.9M $ |
| 11,781 | NYLI CBRE Global Infrastructure Megatrends Term Fund US56064Q1076 · United States | 7 | 18.9M $ |
| 11,782 | Synmosa Biopharma Corp TW0004114004 · Taiwan | 27 | 19M $ |
| 11,783 | Emeco Holdings Ltd AU000000EHL7 · Australia | 38 | 19M $ |
| 11,784 | Trx Real Estate FII BRTRXFCTF003 · Brazil | 4 | 19M $ |
| 11,785 | Sichuan Hongda Co Ltd CNE0000019F1 · China | 14 | 19M $ |
| 11,786 | Hektas Ticaret TAS TRAHEKTS91E4 · Türkiye | 38 | 19M $ |
| 11,787 | Newcore Gold Ltd CA65118M1032 · Canada | 4 | 18.8M $ |
| 11,788 | Daihatsu Infinearth Mfg Co Ltd JP3497000004 · Japan | 35 | 19M $ |
| 11,789 | Nexa Resources SA LU1701428291 · Luxembourg | 33 | 18.9M $ |
| 11,790 | Iseki & Co Ltd JP3139600005 · Japan | 35 | 19M $ |
| 11,791 | Energiekontor AG DE0005313506 · Germany | 41 | 18.9M $ |
| 11,792 | ASR Microelectronics Co Ltd CNE100005RF7 · China | 19 | 18.9M $ |
| 11,793 | Hebei Yangyuan Zhihui Beverage Co Ltd CNE100002ST3 · China | 26 | 19M $ |
| 11,794 | Outset Medical Inc US6901452069 · United States | 97 | 18.9M $ |
| 11,795 | F/m US Treasury 3 Month Bill F US74933W4520 · United States | 2 | 18.6M $ |
| 11,796 | Nissha Co Ltd JP3713200008 · Japan | 37 | 18.9M $ |
| 11,797 | Vietnam Joint Stock Commercial Bank for Industry and Trade VN000000CTG7 · Vietnam | 6 | 18.9M $ |
| 11,798 | Bell System24 Holdings Inc JP3835760004 · Japan | 42 | 18.8M $ |
| 11,799 | Orum Therapeutics Inc KR7475830006 · South Korea | 9 | 18.8M $ |
| 11,800 | Doman Building Materials Group Ltd CA25703L1004 · Canada | 25 | 18.9M $ |