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 |
|---|---|---|---|
| 13,501 | Xiamen Amoytop Biotech Co Ltd CNE100003RT3 · China | 21 | 10.6M $ |
| 13,502 | Shandong Weifang Rainbow Chemical Co Ltd CNE100004NC6 · China | 19 | 10.6M $ |
| 13,503 | ENJOEI ON NM BRENJUACNOR9 · Brazil | 29 | 10.6M $ |
| 13,504 | Posco M-Tech Co Ltd KR7009520008 · South Korea | 20 | 10.5M $ |
| 13,505 | Philippine National Bank PHY7027H1583 · Philippines | 23 | 10.6M $ |
| 13,506 | IndiGrid Infrastructure Trust INE219X07538 · India | 1 | 10.4M $ |
| 13,507 | Nantex Industry Co Ltd TW0002108008 · Taiwan | 21 | 10.5M $ |
| 13,508 | LANHYP Float 01/10/28 SE0013360906 · Sweden | 3 | 10.4M $ |
| 13,509 | Bajaj Auto Credit Ltd. INE18UV07012 · India | 1 | 10.3M $ |
| 13,510 | Nice Information & Telecommunication Inc KR7036800001 · South Korea | 17 | 10.5M $ |
| 13,511 | Silvaco Group Inc US82728C1027 · United States | 80 | 10.4M $ |
| 13,512 | Mercuries & Associates Holding Ltd TW0002905007 · Taiwan | 25 | 10.5M $ |
| 13,513 | One Stop Systems Inc US68247W1099 · United States | 18 | 10.4M $ |
| 13,514 | Yifan Pharmaceutical Co Ltd CNE000001K65 · China | 21 | 10.5M $ |
| 13,515 | Oshidori International Holdings Ltd BMG6804L1019 · Bermuda | 8 | 10.5M $ |
| 13,516 | Horizon Minerals Ltd AU0000464257 · Australia · 2 listed lines | 6 | 10.5M $ |
| 13,517 | Nihon Tokushu Toryo Co Ltd JP3739000002 · Japan | 20 | 10.5M $ |
| 13,518 | Invesco Solar ETF US46138G7060 · United States | 3 | 10.5M $ |
| 13,519 | Pacific Securities Co Ltd/The/China CNE1000008V9 · China | 25 | 10.5M $ |
| 13,520 | US00191K6331 US00191K6331 · United States | 1 | 10.6M $ |
| 13,521 | Chegg Inc US1630921096 · United States | 41 | 10.4M $ |
| 13,522 | Elevation Series Trust - Trues US2103228639 · United States | 1 | 10.5M $ |
| 13,523 | China Sanjiang Fine Chemicals Co Ltd KYG211861045 · Cayman Islands | 21 | 10.5M $ |
| 13,524 | Kempower Oyj FI4000513593 · Finland | 19 | 10.4M $ |
| 13,525 | Orient Electric Ltd INE142Z01019 · India | 23 | 10.5M $ |
| 13,526 | Yung Chi Paint & Varnish Manufacturing Co Ltd TW0001726008 · Taiwan | 14 | 10.5M $ |
| 13,527 | AVICOPTER PLC CNE0000015V6 · China | 25 | 10.5M $ |
| 13,528 | ODAS Elektrik Uretim ve Sanayi Ticaret AS TREODAS00014 · Türkiye | 23 | 10.5M $ |
| 13,529 | IDEA ACQUISITION CORP KYG4727U1269 · Cayman Islands | 8 | 10.4M $ |
| 13,530 | BlackRock Enhanced Large Cap Core Fund Inc US09256A1097 · United States | 3 | 10.5M $ |
| 13,531 | Sitka Gold Corp. CA8606471065 · Canada | 1 | 10.5M $ |
| 13,532 | Trueshares Structured Outcome US2103228225 · United States | 1 | 10.5M $ |
| 13,533 | Zhongfu Straits Pingtan Development Co Ltd CNE0000009F2 · China | 14 | 10.5M $ |
| 13,534 | Capital World Growth and Incom US1405431172 · United States | 1 | 10.3M $ |
| 13,535 | Skellerup Holdings Ltd NZSKXE0001S8 · New Zealand | 21 | 10.4M $ |
| 13,536 | Shenzhen Senior Technology Material Co Ltd CNE100002DP3 · China | 25 | 10.4M $ |
| 13,537 | Raymond Ltd INE301A01014 · India | 28 | 10.4M $ |
| 13,538 | System Research Co Ltd JP3351070002 · Japan | 21 | 10.5M $ |
| 13,539 | JPMorgan Inflation Managed Bond ETF US46654Q1040 · United States | 1 | 10.2M $ |
| 13,540 | Elevation Series Trust - Trues US2103227649 · United States | 1 | 10.4M $ |
| 13,541 | Wuhan Dameng Database Co Ltd CNE100006JT3 · China | 9 | 10.4M $ |
| 13,542 | Aeris Resources Ltd AU000000AIS8 · Australia | 23 | 10.4M $ |
| 13,543 | First Trust Exchange-Traded Fund VIII US33740F8059 · United States | 2 | 10.4M $ |
| 13,544 | Airgain Inc US00938A1043 · United States | 20 | 10.4M $ |
| 13,545 | Elevation Series Trust - Trues US2103228712 · United States | 1 | 10.4M $ |
| 13,546 | Fairvest Ltd ZAE000304796 · South Africa | 7 | 10.4M $ |
| 13,547 | Gossamer Bio Inc US38341P1021 · United States | 106 | 10.3M $ |
| 13,548 | Yashima Denki Co Ltd JP3931700003 · Japan | 21 | 10.4M $ |
| 13,549 | ClearBridge Energy Midstream O US18469P2092 · United States | 2 | 10.2M $ |
| 13,550 | BlackRock Taxable Municipal Bond Trust US09248X1000 · United States | 5 | 10.5M $ |
| 13,551 | LAUNCH TWO ACQUISITION CORP KYG5S87A1057 · Cayman Islands | 6 | 10.2M $ |
| 13,552 | Vanguard US Quality Factor ETF US9219357061 · United States | 3 | 10.5M $ |
| 13,553 | Bicycle Therapeutics PLC US0887861088 · United Kingdom | 22 | 10.3M $ |
| 13,554 | SBI Comma Fund - Direct Plan - Growth Option INF200K01SB6 · India | 1 | 10.2M $ |
| 13,555 | Grayscale Ethereum Staking Min US38964R2031 · United States | 1 | 10.2M $ |
| 13,556 | Chunbo Co Ltd KR7278280003 · South Korea | 24 | 10.3M $ |
| 13,557 | VS Industry Bhd MYL6963OO002 · Malaysia | 28 | 10.4M $ |
| 13,558 | Nuveen ESG Large-Cap ETF US67092P8620 · United States | 1 | 10.4M $ |
| 13,559 | Giordano International Ltd BMG6901M1010 · Hong Kong SAR China | 36 | 10.3M $ |
| 13,560 | BIOPHARMA CREDIT PLC GB00BDGKMY29 · United Kingdom | 1 | 10.4M $ |
| 13,561 | Dustin Group AB SE0006625471 · Sweden | 32 | 10.2M $ |
| 13,562 | Beijing Ultrapower Software Co Ltd CNE100000H51 · China | 28 | 10.3M $ |
| 13,563 | Dynagreen Environmental Protection Group Co Ltd CNE100001SH0 · China | 27 | 10.3M $ |
| 13,564 | Innovator Laddered Allocation Buffer ETF US45783Y7563 · United States | 4 | 10.2M $ |
| 13,565 | Nuveen Real Asset Income & Growth Fund US67074Y1055 · United States · 2 listed lines | 6 | 10.2M $ |
| 13,566 | Shenzhen Fortune Trend Technology Co Ltd CNE100005592 · China | 12 | 10.3M $ |
| 13,567 | Intracom Holdings SA GRS087003000 · Greece | 15 | 10.3M $ |
| 13,568 | NOCIL Ltd INE163A01018 · India | 24 | 10.3M $ |
| 13,569 | Elevation Series Trust - Trues US2103226815 · United States | 1 | 10.3M $ |
| 13,570 | Dhipaya Group Holdings PCL THA458010016 · Thailand | 12 | 10.3M $ |
| 13,571 | Blackrock Credit Allocation Income Trust US0925081004 · United States | 5 | 10.4M $ |
| 13,572 | JDC Corp JP3707200006 · Japan | 28 | 10.3M $ |
| 13,573 | Solvar Ltd AU0000258782 · Australia | 21 | 10.3M $ |
| 13,574 | Ruyi Film Entertainment Co Ltd CNE100001WW1 · China | 21 | 10.3M $ |
| 13,575 | Cahya Mata Sarawak Bhd MYL2852OO001 · Malaysia | 18 | 10.3M $ |
| 13,576 | Cosmochemical Co Ltd KR7005420005 · South Korea | 19 | 10.3M $ |
| 13,577 | JPMorgan Prime Money Market Fund US46637K8449 · United States | 2 | 10.2M $ |
| 13,578 | State Grid Yingda Co Ltd CNE000001G20 · China | 22 | 10.3M $ |
| 13,579 | Leyard Optoelectronic Co Ltd CNE100001CB7 · China | 22 | 10.3M $ |
| 13,580 | WESTERN DIG DRN BRW1DCBDR007 · Brazil | 10 | 10.3M $ |
| 13,581 | Impack Pratama Industri Tbk PT ID1000133002 · Indonesia | 20 | 10.3M $ |
| 13,582 | FILTRONIC PLC GB0003362992 · United Kingdom | 11 | 10.1M $ |
| 13,583 | Banco BBVA Peru SA PEP116001004 · Peru | 3 | 10.4M $ |
| 13,584 | DoubleLine Yield Opportunities US25862D1054 · United States | 5 | 10.1M $ |
| 13,585 | Sophia Genetics SA CH1125843347 · Switzerland | 14 | 10.2M $ |
| 13,586 | Integrated Holding Co KCSC KW0EQ0608889 · Kuwait | 19 | 10.2M $ |
| 13,587 | Net Power Inc US64107A1051 · United States | 81 | 10.2M $ |
| 13,588 | Elevation Series Trust - Trues US2103228480 · United States | 1 | 10.3M $ |
| 13,589 | Siasun Robot & Automation Co Ltd CNE100000GH7 · China | 22 | 10.2M $ |
| 13,590 | EXXON MOBIL DRN BREXXOBDR006 · Brazil | 8 | 10.3M $ |
| 13,591 | HD Hyundai Energy Solutions Co Ltd KR7322000001 · South Korea | 15 | 10.3M $ |
| 13,592 | Xiamen Bank Co Ltd CNE100004HT2 · China | 20 | 10.3M $ |
| 13,593 | First Trust Senior Floating Rate Income Fund II US33733U1088 · United States | 3 | 10.2M $ |
| 13,594 | TeamLease Services Ltd INE985S01024 · India | 20 | 10.2M $ |
| 13,595 | Flaherty & Crumrine Preferred & Income Securities Fund Inc US3384781007 · United States | 5 | 10.3M $ |
| 13,596 | Westaim Corp US9569251013 · United States | 6 | 10.3M $ |
| 13,597 | Hwang Chang General Contractor Co Ltd TW0002543006 · Taiwan | 25 | 10.3M $ |
| 13,598 | PPC Ltd ZAE000170049 · South Africa | 21 | 10.2M $ |
| 13,599 | France Bed Holdings Co Ltd JP3826500005 · Japan | 38 | 10.2M $ |
| 13,600 | Shanghai Belling Co Ltd CNE000000XB6 · China | 19 | 10.2M $ |