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 |
|---|---|---|---|
| 13,601 | Revival Gold Inc CA76151P1018 · Canada | 4 | 10.1M $ |
| 13,602 | KNR Constructions Ltd INE634I01029 · India | 26 | 10.2M $ |
| 13,603 | Full House Resorts Inc US3596781092 · United States | 25 | 10.1M $ |
| 13,604 | Beijing Haohua Energy Resource Co Ltd CNE100000N12 · China | 16 | 10.2M $ |
| 13,605 | Accent Group Ltd AU000000AX19 · Australia | 41 | 10.2M $ |
| 13,606 | NS GROUP INC JP3164810008 · Japan | 9 | 10.1M $ |
| 13,607 | AstroNova Inc US04638F1084 · United States | 39 | 10.2M $ |
| 13,608 | Hisaka Works Ltd JP3784200002 · Japan | 20 | 10.2M $ |
| 13,609 | Eurocash SA PLEURCH00011 · Poland | 23 | 10.2M $ |
| 13,610 | Zhejiang Yongtai Technology Co Ltd CNE100000J59 · China | 16 | 10.2M $ |
| 13,611 | RWS Holdings PLC GB00BVFCZV34 · United Kingdom | 24 | 10.3M $ |
| 13,612 | Elevation Series Trust - Trues US2103227805 · United States | 1 | 10.2M $ |
| 13,613 | Jiangxi Lianchuang Optoelectronic Science & Technology Co Ltd CNE0000017P4 · China | 13 | 10.2M $ |
| 13,614 | Care Property Invest NV BE0974273055 · Belgium | 15 | 10.2M $ |
| 13,615 | Huang Hsiang Construction Corp TW0002545001 · Taiwan | 33 | 10.2M $ |
| 13,616 | WDB Holdings Co Ltd JP3505940001 · Japan | 23 | 10.2M $ |
| 13,617 | Beijing Geekplus Technology Co Ltd. CNE1000070L0 · China | 4 | 10.3M $ |
| 13,618 | Orion Properties Inc US68629Y1038 · United States | 36 | 10.1M $ |
| 13,619 | Shanghai Lingang Holdings Corp Ltd CNE000000C74 · China | 28 | 10.2M $ |
| 13,620 | SGC Energy Co Ltd KR7005090006 · South Korea | 20 | 10.1M $ |
| 13,621 | Synergy Grid & Development Phils Inc PHY8321B1036 · Philippines | 21 | 10.2M $ |
| 13,622 | Elnusa Tbk PT ID1000109606 · Indonesia | 25 | 10.1M $ |
| 13,623 | CHINA YUCHAI INTERNATIONAL LTD BMG210821051 · Bermuda | 21 | 10.1M $ |
| 13,624 | Summarecon Agung Tbk PT ID1000092406 · Indonesia | 26 | 10.2M $ |
| 13,625 | SEAGATE HOLD DRN BRS1TXBDR005 · Brazil | 13 | 10.2M $ |
| 13,626 | BOE HC SemiTek Corp CNE100001DV3 · China | 20 | 10.2M $ |
| 13,627 | AutoCanada Inc CA05277B2093 · Canada | 26 | 10.2M $ |
| 13,628 | Gecoss Corp JP3225500002 · Japan | 31 | 10.1M $ |
| 13,629 | WINDFORCE PLC LK0461N00000 · Sri Lanka | 1 | 10M $ |
| 13,630 | Bermaz Auto Bhd MYL5248OO009 · Malaysia | 27 | 10.2M $ |
| 13,631 | BNY MELLON INVESTMENT FUNDS IV INC US05589K4004 · United States | 1 | 10.3M $ |
| 13,632 | Alok Industries Ltd INE270A01029 · India | 19 | 10.2M $ |
| 13,633 | Beijing BDStar Navigation Co Ltd CNE100000643 · China | 18 | 10.1M $ |
| 13,634 | Klarabo Sverige AB SE0010832287 · Sweden | 29 | 10M $ |
| 13,635 | LITALICO Inc JP3974470001 · Japan | 27 | 10.2M $ |
| 13,636 | Quest Holdings SA GRS310003009 · Greece | 22 | 10.2M $ |
| 13,637 | Kappa Create Co Ltd JP3212400000 · Japan | 22 | 10.1M $ |
| 13,638 | Oriental Union Chemical Corp TW0001710002 · Taiwan | 22 | 10.2M $ |
| 13,639 | ALGER FUNDS US0155651872 · United States | 1 | 10M $ |
| 13,640 | Fujian Longking Co Ltd CNE0000016G5 · China | 17 | 10.2M $ |
| 13,641 | First Eagle Funds US32008F7134 · United States | 3 | 10.2M $ |
| 13,642 | Huangshan Tourism Development Co Ltd CNE000000PV0 · China · 2 listed lines | 21 | 10.1M $ |
| 13,643 | REC Ltd. INE020B08FC8 · India | 2 | 10M $ |
| 13,644 | Northeast Securities Co Ltd CNE0000004H9 · China | 24 | 10.2M $ |
| 13,645 | China Tianying Inc CNE000000FN8 · China | 20 | 10.1M $ |
| 13,646 | Aerospace Hi-Tech Holdings Grp Ltd CNE000000Y86 · China | 19 | 10.2M $ |
| 13,647 | Baron SMID Cap ETF US06829D3052 · United States | 1 | 10M $ |
| 13,648 | SHIFT UP Corp KR7462870007 · South Korea | 25 | 10.1M $ |
| 13,649 | Elevation Series Trust - Trues US2103227722 · United States | 1 | 10.1M $ |
| 13,650 | Punjab National Bank( Tier II Bond under Basel III ) INE160A08191 · India | 1 | 10M $ |
| 13,651 | Prudential Jennison Natural Resources Fund, Inc. US74441K6029 · United States | 5 | 10M $ |
| 13,652 | Shenzhen FRD Science & Technology Co Ltd CNE100002Q25 · China | 15 | 10.1M $ |
| 13,653 | Chengdu Wintrue Holding Co Ltd CNE100000Z59 · China | 21 | 10.1M $ |
| 13,654 | Amazing Microelectronic Corp TW0006411002 · Taiwan | 25 | 10.1M $ |
| 13,655 | Intellicheck Inc US45817G2012 · United States | 26 | 10M $ |
| 13,656 | Hainan Meilan International Airport Co Ltd CNE1000003B2 · Hong Kong SAR China | 20 | 10.1M $ |
| 13,657 | Qatar Insurance Co SAQ QA0006929838 · Qatar | 19 | 10.1M $ |
| 13,658 | Bajaj Electricals Ltd INE193E01025 · India | 15 | 10.1M $ |
| 13,659 | JINUSHI Co Ltd JP3714200007 · Japan | 25 | 10.1M $ |
| 13,660 | Emerald Holding Inc US29103W1045 · United States | 71 | 10M $ |
| 13,661 | CCP Contact Probes Co Ltd TW0006217003 · Taiwan | 15 | 10.1M $ |
| 13,662 | Microbot Medical Inc US59503A2042 · United States | 21 | 10M $ |
| 13,663 | Tri-Continental Corp US8954361031 · United States | 4 | 10.2M $ |
| 13,664 | Delaware Investments fund US24610H3021 · United States | 2 | 10.1M $ |
| 13,665 | Sumec Corp Ltd CNE000000KL2 · China | 21 | 10.1M $ |
| 13,666 | China Resources Double Crane Pharmaceutical Co Ltd CNE000000Q94 · China | 26 | 10.1M $ |
| 13,667 | Vanguard Mid-Cap Growth ETF US9229085389 · United States | 4 | 10M $ |
| 13,668 | Anton Oilfield Services Group/Hong Kong KYG039991024 · Cayman Islands | 26 | 10.1M $ |
| 13,669 | FRANKLIN TAX FREE TRUST US3547232724 · United States | 2 | 10.1M $ |
| 13,670 | Grupo Empresarial San Jose SA ES0180918015 · Spain | 34 | 10.1M $ |
| 13,671 | Srisawad Corp PCL TH5456010R17 · Thailand | 16 | 10.1M $ |
| 13,672 | Hebei Huatong Wires & Cables Group Co Ltd CNE100005279 · China | 6 | 10M $ |
| 13,673 | Lord Abbett Municipal Income Trust US5439128365 · United States | 1 | 10.1M $ |
| 13,674 | Americanas S.A. BRAMERACNOR6 · Brazil | 259 | 10.1M $ |
| 13,675 | Tera Probe Inc JP3546550009 · Japan | 22 | 10.1M $ |
| 13,676 | Grinm Advanced Materials Co Ltd CNE000000YF5 · China | 16 | 10M $ |
| 13,677 | Elmera Group ASA NO0010815673 · Norway | 32 | 10M $ |
| 13,678 | Hytera Communications Corp Ltd CNE1000013B1 · China | 30 | 10M $ |
| 13,679 | China Film Group Co Ltd CNE100002GX0 · China | 24 | 10.1M $ |
| 13,680 | Akcansa Cimento AS TRAAKCNS91F3 · Türkiye | 29 | 10M $ |
| 13,681 | Deceuninck NV BE0003789063 · Belgium | 41 | 10M $ |
| 13,682 | eRex Co Ltd JP3130830007 · Japan | 23 | 10M $ |
| 13,683 | Grupo Traxion SAB de CV MX01TR0H0006 · Mexico | 23 | 10M $ |
| 13,684 | INDDEN 2.955 08/28/30 #DMTN SE0013885944 · Sweden | 1 | 9.8M $ |
| 13,685 | Changshu Tianyin Electromechanical Co Ltd CNE100001JY4 · China | 5 | 10M $ |
| 13,686 | Joincare Pharmaceutical Group Industry Co Ltd CNE000001816 · China | 24 | 10M $ |
| 13,687 | Nuode New Materials Co Ltd CNE000000TB4 · China | 19 | 10M $ |
| 13,688 | Tiernan Gold Corp CA88650A1057 · Canada | 2 | 10M $ |
| 13,689 | Zhuzhou Hongda Electronics Corp Ltd CNE1000035L3 · China | 17 | 10M $ |
| 13,690 | Tibet Urban Development and Investment Co Ltd CNE000000MT1 · China | 7 | 10M $ |
| 13,691 | Asia Polymer Corp TW0001308005 · Taiwan | 22 | 10M $ |
| 13,692 | Ever Sunshine Services Group Ltd KYG2139U1067 · Cayman Islands | 28 | 9.9M $ |
| 13,693 | YieldMax MSTR Option Income Strategy ETF US88636X7324 · United States | 1 | 10M $ |
| 13,694 | CANTERBURY PARK HOLDING CORP US13811E1010 · United States | 22 | 9.8M $ |
| 13,695 | First Philippine Holdings Corp PHY2558N1203 · Philippines | 14 | 10M $ |
| 13,696 | Meinian Onehealth Healthcare Holdings Co Ltd CNE000001LV7 · China | 29 | 10M $ |
| 13,697 | Darfon Electronics Corp TW0008163007 · Taiwan | 29 | 9.9M $ |
| 13,698 | Schweiter Technologies AG CH1248667003 · Switzerland | 28 | 10M $ |
| 13,699 | AB IGNITIS GRUPE LT0000115768 · Lithuania | 3 | 9.8M $ |
| 13,700 | Shanghai Waigaoqiao Free Trade Zone Group Co Ltd CNE000000438 · China · 2 listed lines | 21 | 10M $ |