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 |
|---|---|---|---|
| 12,501 | Northern Technologies International Corp US6658091094 · United States | 33 | 14.6M $ |
| 12,502 | Artius II Acquisition Inc KYG0509J1159 · Cayman Islands | 6 | 14.5M $ |
| 12,503 | KKR Income Opportunities Fund US48249T1060 · United States | 8 | 14.5M $ |
| 12,504 | Kaveri Seed Co Ltd INE455I01029 · India | 33 | 14.7M $ |
| 12,505 | Optowide Technologies Co Ltd CNE1000053F8 · China | 5 | 14.7M $ |
| 12,506 | Jiangsu Dingsheng New Energy Materials Co Ltd CNE100003J80 · China | 18 | 14.7M $ |
| 12,507 | Japan Display Inc JP3389660006 · Japan | 8 | 14.6M $ |
| 12,508 | PIMCO FUNDS US72201F5733 · United States | 1 | 14.4M $ |
| 12,509 | Bangkok Airways PCL TH4403010010 · Thailand · 3 listed lines | 26 | 14.7M $ |
| 12,510 | Hokuto Corp JP3843250006 · Japan | 36 | 14.7M $ |
| 12,511 | Hanover Bancorp Inc US4107091096 · United States | 92 | 14.5M $ |
| 12,512 | New Era Energy & Digital Inc US64428N1090 · United States | 13 | 14.5M $ |
| 12,513 | VictoryShares Free Cash Flow ETF US92647X8305 · United States | 5 | 14.7M $ |
| 12,514 | XTC New Energy Materials Xiamen Co Ltd CNE100004NQ6 · China | 10 | 14.6M $ |
| 12,515 | Sunrise Realty Trust Inc US8679811021 · United States | 73 | 14.5M $ |
| 12,516 | Vietjet Aviation JSC VN000000VJC7 · Vietnam | 5 | 14.4M $ |
| 12,517 | Regal Partners Ltd AU0000226300 · Australia | 21 | 14.5M $ |
| 12,518 | Fii UBS Br Receb Imob BRRECRCTF004 · Brazil | 4 | 14.6M $ |
| 12,519 | Hanwha General Insurance Co Ltd KR7000370007 · South Korea | 34 | 14.6M $ |
| 12,520 | Takara Bio Inc JP3460200003 · Japan | 22 | 14.5M $ |
| 12,521 | Ability Opto-Electronics Technology Co Ltd TW0003362000 · Taiwan | 21 | 14.6M $ |
| 12,522 | WENDT (India) Ltd. INE274C01019 · India | 1 | 14.3M $ |
| 12,523 | BOE Varitronix Ltd BMG1223L1054 · Hong Kong SAR China | 31 | 14.6M $ |
| 12,524 | Fidelity Enhanced Large Cap Growth ETF US31609A3059 · United States | 2 | 14.3M $ |
| 12,525 | Guizhou Chanhen Chemical Corp CNE1000032P1 · China | 16 | 14.5M $ |
| 12,526 | Borusan Birlesik Boru Fabrikalari Sanayi ve Ticaret AS TRABRSAN91G8 · Türkiye | 35 | 14.6M $ |
| 12,527 | SBI Technology Opportunities Fund - Direct Plan - Growth Option INF200K01RV6 · India | 1 | 14.3M $ |
| 12,528 | Offshore Oil Engineering Co Ltd CNE0000019T2 · China | 29 | 14.5M $ |
| 12,529 | Rain Industries Ltd INE855B01025 · India | 24 | 14.5M $ |
| 12,530 | Hodogaya Chemical Co Ltd JP3852600000 · Japan | 34 | 14.5M $ |
| 12,531 | Matsuyafoods Holdings Co Ltd JP3869800007 · Japan | 32 | 14.5M $ |
| 12,532 | Eaton Vance Enhanced Equity Income Fund II US2782771081 · United States | 4 | 14.6M $ |
| 12,533 | CNOOC Energy Technology & Services Ltd CNE100003L78 · China | 27 | 14.5M $ |
| 12,534 | China Zhenhua Group Science & Technology Co Ltd CNE000000RY0 · China | 29 | 14.5M $ |
| 12,535 | Rhi Magnesita India Ltd INE743M01012 · India | 33 | 14.5M $ |
| 12,536 | Nuvectis Pharma Inc US67080T1088 · United States | 67 | 14.3M $ |
| 12,537 | Washington Mutual Investors Fu US9393307759 · United States | 1 | 14.2M $ |
| 12,538 | KLP AksjeTeknologi Indeks TA NO0013296814 · Norway | 1 | 14.2M $ |
| 12,539 | Caribou Biosciences Inc US1420381089 · United States | 47 | 14.3M $ |
| 12,540 | Huaan Securities Co Ltd CNE100002GR2 · China | 28 | 14.4M $ |
| 12,541 | Cathay Biotech Inc CNE100004447 · China | 25 | 14.4M $ |
| 12,542 | DANYA CEBUS LTD IL0011731374 · Israel | 31 | 14.4M $ |
| 12,543 | Sesoda Corp TW0001708006 · Taiwan | 27 | 14.3M $ |
| 12,544 | Scope Metals Group Ltd IL0002880198 · Israel | 26 | 14.4M $ |
| 12,545 | Rheon Automatic Machinery Co Ltd JP3979400003 · Japan | 38 | 14.4M $ |
| 12,546 | Endava PLC US29260V1052 · United Kingdom | 16 | 14.2M $ |
| 12,547 | Cambria Micro and SmallCap Sha US1320617970 · United States | 3 | 14.4M $ |
| 12,548 | Export-Import Bank of India INE514E08FG5 · India | 1 | 14.2M $ |
| 12,549 | Qingdao Hanhe Cable Co Ltd CNE100000WG6 · China | 19 | 14.4M $ |
| 12,550 | VA Short-Term Fixed Portfolio US2332036787 · United States | 2 | 14.4M $ |
| 12,551 | TaiMed Biologics Inc TW0004147004 · Taiwan | 16 | 14.4M $ |
| 12,552 | Quality Houses PCL TH0256A10Z12 · Thailand | 16 | 14.4M $ |
| 12,553 | BNYM GLOBAL REAL RETURN-Y US05587N7949 · United States | 1 | 14.5M $ |
| 12,554 | EirGenix Inc TW0006589005 · Taiwan | 24 | 14.4M $ |
| 12,555 | Kyivstar Group Ltd BMG5331N1011 · Bermuda | 7 | 14.3M $ |
| 12,556 | Danal Co Ltd KR7064260003 · South Korea | 22 | 14.3M $ |
| 12,557 | Roundhill AVGO WeeklyPay ETF US77926X6195 · United States | 1 | 14.1M $ |
| 12,558 | CATALANA OCCIDENTE ES0116920333 · Spain | 2 | 14.4M $ |
| 12,559 | Can2 Termik AS TRECAN200011 · Türkiye | 21 | 14.3M $ |
| 12,560 | Thunder Software Technology Co Ltd CNE1000021D0 · China | 28 | 14.3M $ |
| 12,561 | Xinfengming Group Co Ltd CNE100002RH0 · China | 21 | 14.3M $ |
| 12,562 | Baron Emerging Markets Fund US06828M8762 · United States | 1 | 14.1M $ |
| 12,563 | Hoosiers Holdings Co Ltd JP3802060008 · Japan | 36 | 14.3M $ |
| 12,564 | Canaan Inc US1347481020 · Cayman Islands | 18 | 14.1M $ |
| 12,565 | Ambassador Hotel/The TW0002704004 · Taiwan | 24 | 14.3M $ |
| 12,566 | Gold Resource Corp US38068T1051 · United States | 14 | 14.2M $ |
| 12,567 | Thailand Future Fund TH7642010014 · Thailand | 5 | 14.3M $ |
| 12,568 | US78413L7617 US78413L7617 · United States | 3 | 14.1M $ |
| 12,569 | FIDUS INVESTMENT CORP US3165001070 · United States | 3 | 14.2M $ |
| 12,570 | Hyundai Green Food KR7453340002 · South Korea | 30 | 14.2M $ |
| 12,571 | Bioteque Corp TW0004107008 · Taiwan | 27 | 14.2M $ |
| 12,572 | Mountain Lake Acquisition Corp II KYG6301L1251 · Cayman Islands | 9 | 14.2M $ |
| 12,573 | DUNE ACQUISITION CORP II KYG2867S1093 · United States | 10 | 14.1M $ |
| 12,574 | Sinotruk Jinan Truck Co Ltd CNE0000010Y1 · China | 24 | 14.3M $ |
| 12,575 | Minsur SA PEP622005002 · Peru | 7 | 14.1M $ |
| 12,576 | Mahanagar Telephone Nigam Ltd. INE153A08113 · India | 2 | 14M $ |
| 12,577 | Benz Mining Corp AU0000118796 · Canada | 8 | 14.1M $ |
| 12,578 | NUVEEN AMT-FREE MUN CR INCOME FD US67071L1061 · United States | 5 | 14.3M $ |
| 12,579 | Jiangxi Zhengbang Technology Co Ltd CNE1000006H2 · China | 9 | 14.3M $ |
| 12,580 | Gentrack Group Ltd NZGTKE0002S9 · Australia | 25 | 14.2M $ |
| 12,581 | FONAR Corp US3444374058 · United States | 42 | 14.2M $ |
| 12,582 | ISHARES MSCI DRN BRBAAXBDR009 · Brazil | 4 | 14.3M $ |
| 12,583 | Green Development Electricity Group of Tianjin Co Ltd CNE000000271 · China | 27 | 14.2M $ |
| 12,584 | Berli Jucker PCL TH0002010Z14 · Thailand | 24 | 14.2M $ |
| 12,585 | Nagawa Co Ltd JP3648700007 · Japan | 25 | 14.2M $ |
| 12,586 | ISGEC Heavy Engineering Ltd INE858B01029 · India | 28 | 14.2M $ |
| 12,587 | Schwab US Broad Market ETF US8085241029 · United States | 3 | 14M $ |
| 12,588 | ORG Technology Co Ltd CNE100001M61 · China | 25 | 14.2M $ |
| 12,589 | Zhefu Holding Group Co Ltd CNE100000CL8 · China | 24 | 14.2M $ |
| 12,590 | M&C Saatchi PLC GB00B01F7T14 · United Kingdom | 12 | 14M $ |
| 12,591 | Contrel Technology Co Ltd TW0008064007 · Taiwan | 22 | 14.2M $ |
| 12,592 | Hangzhou Binjiang Real Estate Group Co Ltd CNE100000BS5 · China | 30 | 14.2M $ |
| 12,593 | Virgin Galactic Holdings Inc US92766K4031 · United States | 30 | 14.1M $ |
| 12,594 | APG SGA SA CH0019107025 · Switzerland | 27 | 14.1M $ |
| 12,595 | YD More Investments Ltd IL0011414641 · Israel | 30 | 14.2M $ |
| 12,596 | Bera Holding AS TREKMBH00014 · Türkiye | 28 | 14.2M $ |
| 12,597 | WAL MART DRN BRWALMBDR005 · Brazil | 12 | 14.2M $ |
| 12,598 | Rithm Property Trust Inc US38983D8544 · United States | 68 | 14M $ |
| 12,599 | Estun Automation Co Ltd CNE100001X35 · China | 13 | 14.2M $ |
| 12,600 | SBI Flexicap Fund - Direct Plan - Growth Option INF200K01UG1 · India | 1 | 13.9M $ |