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 |
|---|---|---|---|
| 12,701 | American Resources Corp US02927U2087 · United States · 2 listed lines | 18 | 13.6M $ |
| 12,702 | Korea Circuit Co Ltd KR7007810005 · South Korea | 18 | 13.7M $ |
| 12,703 | SBI Consumption Opportunities Fund - Direct Plan - Growth Option INF200K01RM5 · India | 1 | 13.5M $ |
| 12,704 | Kogan.com Ltd AU000000KGN2 · Australia | 34 | 13.7M $ |
| 12,705 | Freee KK JP3826520003 · Japan | 19 | 13.7M $ |
| 12,706 | Attijariwafa Bank MA0000012445 · Morocco | 6 | 13.5M $ |
| 12,707 | NMDC Energy AEE01456N241 · United Arab Emirates | 12 | 13.7M $ |
| 12,708 | TOA Paint Thailand PCL TH8193010015 · Thailand · 3 listed lines | 39 | 13.7M $ |
| 12,709 | U.S. Small Cap Equity Fund US7824912031 · United States | 4 | 13.5M $ |
| 12,710 | Ritek Corp TW0002349008 · Taiwan | 28 | 13.7M $ |
| 12,711 | BlackRock Floating Rate Income Trust US0919411043 · United States | 6 | 13.5M $ |
| 12,712 | Nanjing Securities Co Ltd CNE1000031R9 · China | 22 | 13.7M $ |
| 12,713 | Virtus ETF Trust II US92790A8190 · United States | 1 | 13.4M $ |
| 12,714 | Tess Holdings Co Ltd JP3545270005 · Japan | 31 | 13.7M $ |
| 12,715 | Lucid Diagnostics Inc US54948X1090 · United States | 73 | 13.5M $ |
| 12,716 | Syarikat Takaful Malaysia Keluarga Bhd MYL6139OO009 · Malaysia | 32 | 13.7M $ |
| 12,717 | Kyung Dong Navien Co Ltd KR7009450008 · South Korea | 30 | 13.7M $ |
| 12,718 | Advanced Building Industries Co SA0007879410 · Saudi Arabia | 21 | 13.7M $ |
| 12,719 | Vietcap Securities JSC VN000000VCI9 · Vietnam | 4 | 13.4M $ |
| 12,720 | Raizen SA BRRAIZACNPR6 · Brazil | 154 | 13.7M $ |
| 12,721 | SKY Network Television Ltd NZSKTE0001S6 · New Zealand | 33 | 13.6M $ |
| 12,722 | Pangang Group Vanadium Titanium & Resources Co Ltd CNE0000007H2 · China | 27 | 13.7M $ |
| 12,723 | Haichang Ocean Park Holdings Ltd KYG4231A1114 · Hong Kong SAR China | 27 | 13.7M $ |
| 12,724 | Opthea Ltd AU000000OPT2 · Australia · 2 listed lines | 8 | 13.6M $ |
| 12,725 | ARMADA ACQUISITION CORP II KYG0R38G1040 · Cayman Islands | 11 | 13.4M $ |
| 12,726 | Suzuki Co Ltd JP3397210000 · Japan | 28 | 13.6M $ |
| 12,727 | Fila SpA IT0004967292 · Italy | 45 | 13.6M $ |
| 12,728 | UPC Technology Corp TW0001313005 · Taiwan | 22 | 13.6M $ |
| 12,729 | CTOS Digital Bhd MYL5301OO006 · Malaysia | 18 | 13.6M $ |
| 12,730 | Vanguard US Momentum Factor ETF US9219355081 · United States | 4 | 13.7M $ |
| 12,731 | Roman DBDR Acquisition Corp II KYG7633M1042 · United States | 13 | 13.4M $ |
| 12,732 | Toa Corp/Hyogo JP3538600002 · Japan | 25 | 13.5M $ |
| 12,733 | Jiangsu Yangnong Chemical Co Ltd CNE000001B66 · China | 26 | 13.6M $ |
| 12,734 | Context Therapeutics Inc US21077P1084 · United States | 10 | 13.4M $ |
| 12,735 | North Copper Co Ltd CNE000000PR8 · China | 17 | 13.5M $ |
| 12,736 | Adesso SE DE000A0Z23Q5 · Germany | 42 | 13.5M $ |
| 12,737 | BLACKROCK MUNIYIELD QUALITY FD III INC US09254E1038 · United States | 11 | 13.5M $ |
| 12,738 | Shenzhen Han's CNC Technology Co Ltd CNE1000058H3 · China | 11 | 13.6M $ |
| 12,739 | Spinneys 1961 Holding PLC AEE01377S248 · United Arab Emirates | 24 | 13.5M $ |
| 12,740 | Juventus Football Club SpA IT0005572778 · Italy | 23 | 13.5M $ |
| 12,741 | Sociedad Minera Cerro Verde SA PEP646501002 · Peru | 3 | 13.6M $ |
| 12,742 | Fiskars OYJ Abp FI0009000400 · Finland | 22 | 13.5M $ |
| 12,743 | SGI US Large Cap Equity Fund US74925K5240 · United States | 1 | 13.6M $ |
| 12,744 | Circuit Fabology Microelectronics Equipment Co Ltd CNE100005360 · China | 5 | 13.5M $ |
| 12,745 | Shinko Shoji Co Ltd JP3374200008 · Japan | 30 | 13.5M $ |
| 12,746 | Green Landscaping Group AB SE0010985028 · Sweden | 22 | 13.3M $ |
| 12,747 | Pantum Technology Co Ltd CNE1000007W9 · China | 24 | 13.5M $ |
| 12,748 | Alps Active Equity Opportunity Etf US00162Q5100 · United States | 1 | 13.5M $ |
| 12,749 | VOYAGER ACQUISITION CORP KYG93A7H1041 · Cayman Islands | 9 | 13.3M $ |
| 12,750 | Torrent Power Ltd. INE813H07440 · India | 2 | 13.2M $ |
| 12,751 | HDB Financial Services Ltd. INE756I07FQ4 · India | 1 | 13.2M $ |
| 12,752 | Celsia SA COT60PA00038 · Colombia | 14 | 13.5M $ |
| 12,753 | Fittech Co Ltd TW0006706005 · Taiwan | 18 | 13.5M $ |
| 12,754 | First Trust Intermediate Duration Preferred & Income Fund US33718W1036 · United States | 1 | 13.6M $ |
| 12,755 | ION Exchange India Ltd INE570A01022 · India | 32 | 13.4M $ |
| 12,756 | Guangdong Hongda Holdings Group Co Ltd CNE100001F37 · China | 15 | 13.4M $ |
| 12,757 | SNDL Inc CA83307B1013 · Canada | 15 | 13.2M $ |
| 12,758 | Xiamen Changelight Co Ltd CNE100000SG4 · China | 17 | 13.4M $ |
| 12,759 | Kenko Mayonnaise Co Ltd JP3281850002 · Japan | 37 | 13.4M $ |
| 12,760 | Graf Global Corp KYG4036C1069 · United States | 9 | 13.2M $ |
| 12,761 | DI Dong Il Corp KR7001530005 · South Korea | 25 | 13.4M $ |
| 12,762 | Hsin Kuang Steel Co Ltd TW0002031002 · Taiwan | 26 | 13.4M $ |
| 12,763 | OQ Gas Networks SAOC OM0000009072 · Oman | 5 | 13.4M $ |
| 12,764 | Shoei Foods Corp JP3361200003 · Japan | 24 | 13.4M $ |
| 12,765 | Econocom Group SA/NV BE0974313455 · Belgium | 30 | 13.4M $ |
| 12,766 | Vanguard World Fund US9219107094 · United States | 2 | 13.5M $ |
| 12,767 | Okinawa Electric Power Co Inc/The JP3194700005 · Japan | 27 | 13.4M $ |
| 12,768 | Forcecon Tech Co Ltd TW0003483004 · Taiwan | 28 | 13.4M $ |
| 12,769 | Smart Eye AB SE0009268279 · Sweden | 10 | 13.2M $ |
| 12,770 | GuocoLand Ltd SG1R95002270 · Singapore | 27 | 13.4M $ |
| 12,771 | Pacific Metals Co Ltd JP3448000004 · Japan | 21 | 13.4M $ |
| 12,772 | Digital China Group Co Ltd CNE000000DQ6 · China | 23 | 13.4M $ |
| 12,773 | Bank Pan Indonesia Tbk PT ID1000092703 · Indonesia | 25 | 13.4M $ |
| 12,774 | Bally's Corp US05875B3042 · United States | 73 | 13.2M $ |
| 12,775 | DHC Software Co Ltd CNE000001NL4 · China | 27 | 13.4M $ |
| 12,776 | AMREP Corp US0321591051 · United States | 36 | 13.2M $ |
| 12,777 | China Man-Made Fiber Corp TW0001718005 · Taiwan | 25 | 13.3M $ |
| 12,778 | ARISTA NETWO DRN BRA1NEBDR008 · Brazil | 13 | 13.3M $ |
| 12,779 | YUNDA Holding Group Co Ltd CNE100000015 · China | 32 | 13.3M $ |
| 12,780 | Fujian Funeng Co Ltd CNE000001HV5 · China | 25 | 13.3M $ |
| 12,781 | Aubay FR0000063737 · France | 31 | 13.3M $ |
| 12,782 | Plum Acquisition Corp IV KYG7134A1040 · Cayman Islands | 6 | 13.1M $ |
| 12,783 | Lara Exploration Ltd. CA5166831092 · Canada | 1 | 13.3M $ |
| 12,784 | Stecon Group PCL THC381010014 · Thailand | 11 | 13.3M $ |
| 12,785 | Shakti Pumps India Ltd INE908D01010 · India | 26 | 13.3M $ |
| 12,786 | Radisson Mining Resources, Inc. CA76125W5054 · Canada | 2 | 13.2M $ |
| 12,787 | CSG Holding Co Ltd CNE0000002R2 · China · 2 listed lines | 35 | 13.3M $ |
| 12,788 | Computer Modelling Group Ltd CA2052491057 · Canada | 26 | 13.2M $ |
| 12,789 | Lepu Medical Technology Beijing Co Ltd CNE100000H44 · China | 30 | 13.3M $ |
| 12,790 | Torrent Pharmaceuticals Ltd. INE685A07132 · India | 1 | 13.1M $ |
| 12,791 | Airman Corp JP3841400009 · Japan | 28 | 13.3M $ |
| 12,792 | Baron Real Estate Income Fund US06828M7368 · United States | 1 | 13.1M $ |
| 12,793 | Medigen Vaccine Biologics Corp TW0006547003 · Taiwan | 11 | 13.3M $ |
| 12,794 | Urbana Corp CA91707P2089 · Canada · 2 listed lines | 7 | 13M $ |
| 12,795 | BLACKROCK MUN TARGET TERM TR US09257P1057 · United States | 4 | 13.2M $ |
| 12,796 | Bangkok Chain Hospital PCL TH0808010Y15 · Thailand | 16 | 13.2M $ |
| 12,797 | BatiSoke Soke Cimento Sanayii TAS TRABSOKE91F5 · Türkiye | 16 | 13.3M $ |
| 12,798 | Samyang Biopharmaceuticals Corp KR70120G0001 · South Korea | 21 | 13.2M $ |
| 12,799 | Lumax Auto Technologies Ltd INE872H01027 · India | 30 | 13.2M $ |
| 12,800 | Default US27828H1059 · United States | 3 | 13.3M $ |