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 |
|---|---|---|---|
| 12,401 | US78413L7468 US78413L7468 · United States | 5 | 15M $ |
| 12,402 | Goldman Sachs High Yield Fund US38148U8743 · United States | 3 | 15M $ |
| 12,403 | Marusan Securities Co Ltd JP3874800000 · Japan | 21 | 15.2M $ |
| 12,404 | Selectquote Inc US8163073005 · United States | 117 | 15.2M $ |
| 12,405 | Shenzhen Zhongjin Lingnan Nonfemet Co Ltd CNE000000FS7 · China | 25 | 15.3M $ |
| 12,406 | Reckoner Yield Enhanced AAA CL US00777X4960 · United States | 1 | 15M $ |
| 12,407 | Nippon Carbon Co Ltd JP3690400001 · Japan | 34 | 15.2M $ |
| 12,408 | Comtech Telecommunications Corp US2058262096 · United States | 40 | 15.1M $ |
| 12,409 | Baladna QA000T98R9J4 · Qatar | 28 | 15.3M $ |
| 12,410 | Guangxi Guiguan Electric Power Co Ltd CNE0000011Y9 · China | 10 | 15.2M $ |
| 12,411 | GIGCAPITAL8 CORP KYG3864J1004 · Cayman Islands | 11 | 15M $ |
| 12,412 | Carabao Group PCL TH6066010013 · Thailand | 16 | 15.2M $ |
| 12,413 | Istyle Inc JP3102320003 · Japan | 29 | 15.1M $ |
| 12,414 | Australian Finance Group Ltd AU000000AFG9 · Australia | 26 | 15.2M $ |
| 12,415 | SIG PLC GB0008025412 · United Kingdom | 22 | 15.3M $ |
| 12,416 | Ensign Energy Services Inc CA2935701078 · Canada | 29 | 15.2M $ |
| 12,417 | Information Services Corp CA45676A1057 · Canada | 21 | 15M $ |
| 12,418 | Chain Bridge Bancorp Inc US15746L1008 · United States | 63 | 15M $ |
| 12,419 | Inventiva SACA US46124U1079 · France · 2 listed lines | 10 | 15.1M $ |
| 12,420 | Risen Energy Co Ltd CNE100000T73 · China | 20 | 15.1M $ |
| 12,421 | New India Assurance Co Ltd/The INE470Y01017 · India | 15 | 15.2M $ |
| 12,422 | West Red Lake Gold Mines Ltd CA95556L1013 · Canada | 3 | 14.9M $ |
| 12,423 | SBI Healthcare Opportunities Fund - Direct Plan -Growth INF200K01UP2 · India | 1 | 14.9M $ |
| 12,424 | Minerva Neurosciences Inc US6033802058 · United States | 12 | 15M $ |
| 12,425 | GS P&L Co Ltd KR7499790004 · South Korea | 31 | 15.1M $ |
| 12,426 | Beijing Yandong Microelectronic Co Ltd CNE100005VD4 · China | 9 | 15.1M $ |
| 12,427 | Orchestra BioMed Holdings Inc US68572M1062 · United States | 25 | 15M $ |
| 12,428 | NEXT GENERATION TECHNOLOGY GROUP INC JP3264350004 · Japan | 5 | 15.1M $ |
| 12,429 | Ferrari Group PLC GB00BN0VZ646 · United Kingdom | 22 | 15.1M $ |
| 12,430 | Xebio Holdings Co Ltd JP3428800001 · Japan | 40 | 15.1M $ |
| 12,431 | JP-Holdings Inc JP3386190007 · Japan | 32 | 15.1M $ |
| 12,432 | Dye & Durham Ltd CA2674881040 · Canada | 16 | 15.1M $ |
| 12,433 | Century Therapeutics Inc US15673T1007 · United States | 20 | 14.9M $ |
| 12,434 | Sichuan Yahua Industrial Group Co Ltd CNE100000WF8 · China | 27 | 15.1M $ |
| 12,435 | Murakami Corp JP3914200005 · Japan | 21 | 15.1M $ |
| 12,436 | AFFIN Bank Bhd MYL5185OO003 · Malaysia | 26 | 15.1M $ |
| 12,437 | Zentalis Pharmaceuticals Inc US98943L1070 · United States | 38 | 15M $ |
| 12,438 | Cohen & Steers Preferred Securities and Income Fund Inc US19248X3070 · United States | 3 | 14.8M $ |
| 12,439 | Yuanta Securities Korea Co Ltd KR7003470002 · South Korea | 27 | 15M $ |
| 12,440 | AdvisorShares Trust US00768Y4531 · United States | 2 | 14.8M $ |
| 12,441 | 29Metals Ltd AU0000157067 · Australia | 34 | 15M $ |
| 12,442 | A Paradise Acquisition Corp VGG048191016 · Hong Kong SAR China | 13 | 14.8M $ |
| 12,443 | Vulcan Steel Ltd AU0000181984 · Australia | 33 | 15M $ |
| 12,444 | FocalTech Systems Co Ltd TW0003545000 · Taiwan | 31 | 15.1M $ |
| 12,445 | Shenzhen H&T Intelligent Control Co Ltd CNE100000P51 · China | 16 | 15M $ |
| 12,446 | Wisdomtree Bitcoin Fund US97720F1012 · United States | 3 | 15.2M $ |
| 12,447 | JW Pharmaceutical Corp KR7001060003 · South Korea | 28 | 15M $ |
| 12,448 | Calvert Small Cap Fund US13161P6723 · United States | 3 | 14.8M $ |
| 12,449 | Sterling and Wilson Renewable INE00M201021 · India | 20 | 15M $ |
| 12,450 | SanBio Co Ltd JP3336750009 · Japan | 16 | 14.9M $ |
| 12,451 | B Grimm Power PCL TH7545010012 · Thailand · 3 listed lines | 27 | 15M $ |
| 12,452 | Samty Residential Investment Corp JP3047960004 · Japan | 27 | 14.9M $ |
| 12,453 | Gigastorage Corp TW0002406006 · Taiwan | 23 | 15M $ |
| 12,454 | Disa India Ltd. INE131C01011 · India | 1 | 14.7M $ |
| 12,455 | Eaton Vance T/M Gl US27829C1053 · United States | 4 | 15.1M $ |
| 12,456 | Humana AB SE0008040653 · Sweden | 44 | 14.8M $ |
| 12,457 | Log-in Logistica Intermodal SA BRLOGNACNOR3 · Brazil | 38 | 15M $ |
| 12,458 | Simplify Exchange Traded Funds US82889N3504 · United States | 1 | 14.7M $ |
| 12,459 | Melnick Even Desenvolvimento Imobiliario SA BRMELKACNOR8 · Brazil | 58 | 15M $ |
| 12,460 | Australian Clinical Labs Ltd AU0000148496 · Australia | 37 | 14.9M $ |
| 12,461 | Go Fashion India Ltd INE0BJS01011 · India | 12 | 14.7M $ |
| 12,462 | Handsome Co Ltd KR7020000006 · South Korea | 30 | 14.8M $ |
| 12,463 | Far East Smarter Energy Co Ltd CNE000000HQ7 · China | 15 | 14.9M $ |
| 12,464 | Guangzhou Shiyuan Electronic Technology Co Ltd CNE100002K47 · China | 32 | 14.9M $ |
| 12,465 | Micro Systemation AB SE0000526626 · Sweden | 21 | 14.7M $ |
| 12,466 | Lungteh Shipbuilding Co Ltd TW0006753007 · Taiwan | 16 | 14.9M $ |
| 12,467 | Bumi Armada Bhd MYL5210OO009 · Malaysia | 19 | 14.9M $ |
| 12,468 | Pacer Swan SOS Flex April ETF US69374H4772 · United States | 1 | 14.9M $ |
| 12,469 | Oceania Healthcare Ltd NZOCAE0002S0 · New Zealand | 32 | 14.9M $ |
| 12,470 | Delpha Construction Co Ltd TW0002530003 · Taiwan | 31 | 14.9M $ |
| 12,471 | cBrain A/S DK0060030286 · Denmark | 23 | 14.7M $ |
| 12,472 | China National Medicines Corp Ltd CNE000001D56 · China | 25 | 14.9M $ |
| 12,473 | Orron Energy ab SE0000825820 · Sweden | 45 | 14.7M $ |
| 12,474 | YieldMax Ultra Option Income Strategy ETF US88636X7084 · United States | 1 | 14.9M $ |
| 12,475 | Reckoner BBB-B CLO Annual ETF US00777X4473 · United States | 1 | 14.6M $ |
| 12,476 | Wellneo Sugar Co Ltd JP3676600004 · Japan | 30 | 14.8M $ |
| 12,477 | Marston's PLC GB00B1JQDM80 · United Kingdom | 26 | 14.9M $ |
| 12,478 | Jumbo Interactive Ltd AU000000JIN0 · Australia | 33 | 14.8M $ |
| 12,479 | Fudo Tetra Corp JP3825600004 · Japan | 33 | 14.8M $ |
| 12,480 | Intelligo Technology Inc KYG4R4EN1020 · Taiwan | 7 | 14.8M $ |
| 12,481 | SGI Enhanced Nasdaq-100 ETF US74933W2391 · United States | 1 | 15M $ |
| 12,482 | Starts Proceed Investment Corp JP3046340000 · Japan | 20 | 14.8M $ |
| 12,483 | Jiangsu Xinquan Automotive Trim Co Ltd CNE100002YB9 · China | 22 | 14.8M $ |
| 12,484 | Andon Health Co Ltd CNE100000Q84 · China | 17 | 14.8M $ |
| 12,485 | Orbbec Inc CNE100005QB8 · China | 7 | 14.8M $ |
| 12,486 | Pronexus Inc JP3119000002 · Japan | 28 | 14.8M $ |
| 12,487 | Shijiazhuang Changshan BeiMing Technology Co Ltd CNE0000013X7 · China | 24 | 14.8M $ |
| 12,488 | Roundhill GOOGL WeeklyPay ETF US77926X7599 · United States | 1 | 14.6M $ |
| 12,489 | UNISOL Holdings Corp JP3828100002 · Japan | 30 | 14.8M $ |
| 12,490 | SRA Holdings JP3161450006 · Japan | 30 | 14.8M $ |
| 12,491 | Rategain Travel Technologies Ltd INE0CLI01024 · India | 23 | 14.8M $ |
| 12,492 | Ningbo Zhenyu Technology Co Ltd CNE100004G17 · China | 7 | 14.7M $ |
| 12,493 | Gan & Lee Pharmaceuticals Co Ltd CNE100003ZH1 · China | 24 | 14.7M $ |
| 12,494 | American Mutual Fund US0276817741 · United States | 1 | 14.5M $ |
| 12,495 | Ayalon Holdings Ltd IL0002090152 · Israel | 25 | 14.7M $ |
| 12,496 | ECB Bancorp Inc/MD US26828M1062 · United States | 70 | 14.6M $ |
| 12,497 | Reach PLC GB0009039941 · United Kingdom | 26 | 14.8M $ |
| 12,498 | ORACLE DRN BRORCLBDR007 · Brazil | 21 | 14.7M $ |
| 12,499 | Jaguar Mining Inc CA47009M8896 · Canada | 9 | 14.8M $ |
| 12,500 | Ho Bee Land Ltd SG1H41875896 · Singapore | 25 | 14.7M $ |