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 |
|---|---|---|---|
| 12,601 | SD Biosensor Inc KR7137310009 · South Korea | 40 | 14.1M $ |
| 12,602 | Wuxi NCE Power Co Ltd CNE1000042H7 · China | 21 | 14M $ |
| 12,603 | JoulWatt Technology Co Ltd CNE100005VJ1 · China | 5 | 14.1M $ |
| 12,604 | Itochu-Shokuhin Co Ltd JP3143700007 · Japan | 20 | 14.1M $ |
| 12,605 | CURO GROUP HLDGS LLC US23132H1059 · United States | 8 | 14M $ |
| 12,606 | Sensteed Hi-tech Group CNE000001352 · China | 10 | 14.1M $ |
| 12,607 | Hogy Medical Co Ltd JP3840800001 · Japan | 11 | 14.2M $ |
| 12,608 | Western Asset High Income Opportunity Fund Inc. US95766K1097 · United States | 9 | 14M $ |
| 12,609 | Holtek Semiconductor Inc TW0006202005 · Taiwan | 20 | 14.1M $ |
| 12,610 | Ringer Hut Co Ltd JP3977000003 · Japan | 22 | 14M $ |
| 12,611 | Hangzhou Lion Microelectronics Co Ltd CNE100004314 · China | 29 | 14.1M $ |
| 12,612 | Washtec AG DE0007507501 · Germany | 24 | 14.1M $ |
| 12,613 | CROWN RESERVE ACQUISITION CORP I KYG2574F1191 · Cayman Islands | 10 | 13.9M $ |
| 12,614 | baudroie inc JP3855450007 · Japan | 19 | 13.9M $ |
| 12,615 | Rank Group PLC GB00B1L5QH97 · United Kingdom | 31 | 14M $ |
| 12,616 | Cera Sanitaryware Ltd INE739E01017 · India | 31 | 14.1M $ |
| 12,617 | Tyro Payments Ltd AU0000066508 · Australia | 33 | 14.1M $ |
| 12,618 | Oisix ra daichi Inc JP3174190003 · Japan | 27 | 14.1M $ |
| 12,619 | Blackrock Enhanced Global Dividend Trust US0925011050 · United States | 4 | 14.2M $ |
| 12,620 | HBM Healthcare Investments AG CH0012627250 · Switzerland | 7 | 13.9M $ |
| 12,621 | Ezdan Holding Group QSC QA000A0NE8B4 · Qatar | 10 | 14.1M $ |
| 12,622 | Apyx Medical Corp US03837C1062 · United States | 21 | 13.9M $ |
| 12,623 | FACT II ACQUISITION CORP KYG329011038 · Cayman Islands | 9 | 13.8M $ |
| 12,624 | Synopex Inc KR7025320003 · South Korea | 19 | 14M $ |
| 12,625 | Mindspace Business Parks Reit INE0CCU07116 · India | 1 | 13.8M $ |
| 12,626 | SHBASS 2.79 05/23/30 SE0013885696 · Sweden | 3 | 13.8M $ |
| 12,627 | Bank of Guiyang Co Ltd CNE100002FX2 · China | 29 | 14M $ |
| 12,628 | Sun-Wa Technos Corp JP3345400000 · Japan | 31 | 14M $ |
| 12,629 | iShares Core U.S. REIT ETF US4642885218 · United States | 9 | 13.8M $ |
| 12,630 | Perfect Presentation For Commercial Services Co SA15LISJGI11 · Saudi Arabia | 18 | 14M $ |
| 12,631 | BNY Mellon Investment Funds III US05588E8509 · United States | 1 | 14.2M $ |
| 12,632 | Carillon Reams Unconstrained Bond Fund US14214M7240 · United States | 1 | 14M $ |
| 12,633 | DWS US25156A8412 · United States | 2 | 13.8M $ |
| 12,634 | Stride Property Group NZSPGE0001S2 · New Zealand | 15 | 14M $ |
| 12,635 | MANYCORE TECH INC KYG5860M1024 · Cayman Islands | 2 | 14M $ |
| 12,636 | GRG Banking Equipment Co Ltd CNE100000650 · China | 29 | 14M $ |
| 12,637 | Glarun Technology Co Ltd CNE000001DG5 · China | 22 | 14M $ |
| 12,638 | XMAX Inc US66979P3001 · United States | 10 | 13.8M $ |
| 12,639 | Klaveness Combination Carriers ASA NO0010833262 · Norway | 30 | 13.9M $ |
| 12,640 | GSI Technology Inc US36241U1060 · United States | 26 | 13.8M $ |
| 12,641 | KB COMPONENTS AB SE0022725743 · Sweden | 4 | 14M $ |
| 12,642 | Okabe Co Ltd JP3192000002 · Japan | 34 | 13.9M $ |
| 12,643 | Calvert US Mid Cap Core Responsible Index Fund US1316184563 · United States | 5 | 13.7M $ |
| 12,644 | Texmaco Rail & Engineering Ltd INE621L01012 · India | 30 | 14M $ |
| 12,645 | Sprott Physical Gold and Silver Trust CA85208R1010 · United States | 1 | 13.7M $ |
| 12,646 | Cardiff Oncology Inc US14147L1089 · United States | 92 | 13.8M $ |
| 12,647 | OVH Groupe SA FR0014005HJ9 · France | 32 | 13.9M $ |
| 12,648 | ARCHIMEDES TECH SPAC PARTNERS II CO KYG045371096 · Cayman Islands | 9 | 13.8M $ |
| 12,649 | GCL Energy Technology Co Ltd CNE000001K08 · China | 21 | 13.9M $ |
| 12,650 | Cohen & Steers Preferred and I US19249U2033 · United States | 2 | 14M $ |
| 12,651 | Vanguard S&P Small-Cap 600 Value ETF US9219327783 · United States | 1 | 14.1M $ |
| 12,652 | Bharti Telecom Ltd. INE403D08207 · India | 2 | 13.7M $ |
| 12,653 | Corporativo Fragua SAB de CV MXP321131015 · Mexico | 19 | 13.9M $ |
| 12,654 | Heilongjiang Agriculture Co Ltd CNE0000019Z9 · China | 27 | 13.9M $ |
| 12,655 | LYDIA HOLDING AS TRAMIPAZ91J8 · Türkiye | 19 | 13.9M $ |
| 12,656 | Sunlight Real Estate Investment Trust HK0435036626 · Hong Kong SAR China | 14 | 13.8M $ |
| 12,657 | Hualan Biological Engineering Inc CNE000001JN8 · China | 31 | 13.8M $ |
| 12,658 | Janus Henderson Securitized In US47103U7467 · United States | 1 | 13.6M $ |
| 12,659 | STO Express Co Ltd CNE100000T99 · China | 25 | 13.9M $ |
| 12,660 | PGIM Rock ETF Trust US69420N7342 · United States | 2 | 13.9M $ |
| 12,661 | Aeon Hokkaido Corp JP3860270002 · Japan | 39 | 13.8M $ |
| 12,662 | PIMCO CRDT OPPRT BND-INST US72201W3943 · United States | 1 | 14M $ |
| 12,663 | Guangzhou Guanggang Gases & Energy Co Ltd CNE100006MB5 · China | 6 | 13.8M $ |
| 12,664 | PGIM Rock ETF Trust US69420N7268 · United States | 2 | 13.8M $ |
| 12,665 | TSF Investments Ltd INE202Z01029 · India | 11 | 13.8M $ |
| 12,666 | Deyaar Development PJSC AED001001018 · United Arab Emirates | 38 | 13.8M $ |
| 12,667 | Singapore Land Group Ltd SG1K37001643 · Singapore | 25 | 13.8M $ |
| 12,668 | PGIM Rock ETF Trust US69420N3044 · United States | 2 | 13.8M $ |
| 12,669 | PGIM Rock ETF Trust US69420N1063 · United States | 2 | 13.8M $ |
| 12,670 | PGIM Rock ETF Trust US69420N5023 · United States | 2 | 13.8M $ |
| 12,671 | Well Health Technologies Corp CA94947L1022 · Canada | 26 | 13.8M $ |
| 12,672 | Sedana Medical AB SE0015988373 · Sweden | 30 | 13.6M $ |
| 12,673 | PGIM Rock ETF Trust US69420N7425 · United States | 2 | 13.8M $ |
| 12,674 | JPMorgan Short Duration Core P US46637K4554 · United States | 1 | 13.6M $ |
| 12,675 | Sintokogio Ltd JP3378200004 · Japan | 25 | 13.8M $ |
| 12,676 | PGIM Rock ETF Trust US69420N7003 · United States | 2 | 13.8M $ |
| 12,677 | PGIM Rock ETF Trust US69420N7912 · United States | 2 | 13.8M $ |
| 12,678 | PGIM Rock ETF Trust US69420N8258 · United States | 2 | 13.8M $ |
| 12,679 | ADVANCED MIC DRN BRA1MDBDR002 · Brazil | 26 | 13.8M $ |
| 12,680 | Voya Separate Portfolios Tr US92913M7323 · United States | 1 | 13.6M $ |
| 12,681 | SBI Banking And Financial Services Fund - Direct Plan - Growth Option INF200KA1507 · India | 1 | 13.5M $ |
| 12,682 | PGIM Rock ETF Trust US69420N8415 · United States | 2 | 13.8M $ |
| 12,683 | Invesco Agriculture Commodity US46090F3082 · United States | 1 | 13.8M $ |
| 12,684 | SJF Bank A/S DK0060670776 · Denmark | 32 | 13.8M $ |
| 12,685 | Power Grid Corporation of India Ltd. INE752E08742 · India | 2 | 13.5M $ |
| 12,686 | Aftermath Silver Ltd CA00831V2057 · Canada | 4 | 13.6M $ |
| 12,687 | Unid Co Ltd KR7014830004 · South Korea | 32 | 13.7M $ |
| 12,688 | Precious Shipping PCL TH0363010Z10 · Thailand · 3 listed lines | 28 | 13.7M $ |
| 12,689 | PGIM Rock ETF Trust US69420N8662 · United States | 2 | 13.8M $ |
| 12,690 | Nippon Ceramic Co Ltd JP3725200004 · Japan | 15 | 13.7M $ |
| 12,691 | Marco Polo Marine Ltd SG1W14938268 · Singapore | 22 | 13.8M $ |
| 12,692 | Bukwang Pharmaceutical Co Ltd KR7003000007 · South Korea | 24 | 13.7M $ |
| 12,693 | Henan Yuneng Holdings Co Ltd CNE000000TZ3 · China | 15 | 13.7M $ |
| 12,694 | PGIM Rock ETF Trust US69420N8829 · United States | 2 | 13.7M $ |
| 12,695 | HMT Xiamen New Technical Materials Co Ltd CNE100001T07 · China | 14 | 13.7M $ |
| 12,696 | Cambria Value and Momentum ETF US1320618887 · United States | 2 | 13.7M $ |
| 12,697 | Tata Teleservices Maharashtra Ltd INE517B01013 · India | 28 | 13.7M $ |
| 12,698 | Wuchan Zhongda Group Co Ltd CNE000000KF4 · China | 29 | 13.7M $ |
| 12,699 | Fundo De Investimento Imobiliario VBI Prime Properties BRPVBICTF003 · Brazil | 5 | 13.7M $ |
| 12,700 | NEUBERGER BERM LNG SHRT-INST US64128R6080 · United States | 1 | 13.8M $ |