The most widely held companies
Ranked by how many funds declare a position in the company.
30,697 in total
| Rank | Company | Holders | Value |
|---|---|---|---|
| 1,301 | Subaru Corp JP3814800003 | 355 | 1.9B $ |
| 1,302 | Kulicke & Soffa Industries Inc US5012421013 | 355 | 1.6B $ |
| 1,303 | Avista Corp US05379B1070 | 355 | 1.5B $ |
| 1,304 | Polaris Inc US7310681025 | 355 | 1.5B $ |
| 1,305 | Bank of Ireland Group PLC IE00BD1RP616 | 354 | 6B $ |
| 1,306 | SiteOne Landscape Supply Inc US82982L1035 | 354 | 3.1B $ |
| 1,307 | FNB Corp/PA US3025201019 | 354 | 2.8B $ |
| 1,308 | Northwestern Energy Group Inc US6680743050 | 354 | 1.9B $ |
| 1,309 | Vamos Locacao de Caminhoes Maquinas e Equipamentos SA BRVAMOACNOR7 | 354 | 304.8M $ |
| 1,310 | Ping An Insurance Group Co of China Ltd CNE1000003X6 | 353 | 12.1B $ |
| 1,311 | Orkla ASA NO0003733800 | 353 | 5.7B $ |
| 1,312 | Coca-Cola HBC AG CH0198251305 | 353 | 3.1B $ |
| 1,313 | Bio-Rad Laboratories Inc US0905722072 | 353 | 2.8B $ |
| 1,314 | Knife River Corp US4988941047 | 353 | 2.6B $ |
| 1,315 | Cavco Industries Inc US1495681074 | 353 | 2.4B $ |
| 1,316 | NMI Holdings Inc US6292093050 | 353 | 1.5B $ |
| 1,317 | AddTech AB SE0014781795 | 352 | 21.3B $ |
| 1,318 | Bouygues SA FR0000120503 | 352 | 4.3B $ |
| 1,319 | GATX Corp US3614481030 | 352 | 2.9B $ |
| 1,320 | Trex Co Inc US89531P1057 | 352 | 1.5B $ |
| 1,321 | EPR Properties US26884U1097 | 352 | 1.4B $ |
| 1,322 | Veolia Environnement SA FR0000124141 | 351 | 4.7B $ |
| 1,323 | Argan Inc US04010E1091 | 351 | 3.5B $ |
| 1,324 | Granite Construction Inc US3873281071 | 351 | 3.2B $ |
| 1,325 | Praxis Precision Medicines Inc US74006W2070 | 351 | 3.1B $ |
| 1,326 | Ormat Technologies Inc US6866881021 | 351 | 3B $ |
| 1,327 | Matson Inc US57686G1058 | 351 | 2.6B $ |
| 1,328 | Mohawk Industries Inc US6081901042 | 351 | 2.6B $ |
| 1,329 | Palomar Holdings Inc US69753M1053 | 351 | 1.8B $ |
| 1,330 | BankUnited Inc US06652K1034 | 351 | 1.7B $ |
| 1,331 | MRV Engenharia e Participacoes SA BRMRVEACNOR2 | 351 | 831M $ |
| 1,332 | News Corp US65249B2088 | 351 | 829.1M $ |
| 1,333 | ANZ Group Holdings Ltd AU000000ANZ3 | 350 | 9.3B $ |
| 1,334 | AST SpaceMobile Inc US00217D1000 | 350 | 4.2B $ |
| 1,335 | PriceSmart Inc US7415111092 | 350 | 2.5B $ |
| 1,336 | Home BancShares Inc/AR US4368932004 | 350 | 2.2B $ |
| 1,337 | Phinia Inc US71880K1016 | 350 | 1.6B $ |
| 1,338 | Appfolio Inc US03783C1009 | 350 | 1.5B $ |
| 1,339 | Leonardo SpA IT0003856405 | 349 | 4.7B $ |
| 1,340 | Axos Financial Inc US05465C1009 | 349 | 2.5B $ |
| 1,341 | New Jersey Resources Corp US6460251068 | 349 | 2.3B $ |
| 1,342 | American Eagle Outfitters Inc US02553E1064 | 349 | 1.4B $ |
| 1,343 | Franco-Nevada Corp CA3518581051 | 348 | 15.8B $ |
| 1,344 | Telenor ASA NO0010063308 | 348 | 4.4B $ |
| 1,345 | Moncler SpA IT0004965148 | 348 | 4B $ |
| 1,346 | Nuvalent Inc US6707031075 | 348 | 3B $ |
| 1,347 | Axsome Therapeutics Inc US05464T1043 | 348 | 2.9B $ |
| 1,348 | OneMain Holdings Inc US68268W1036 | 348 | 2.6B $ |
| 1,349 | Axcelis Technologies Inc US0545402085 | 348 | 1.8B $ |
| 1,350 | Prestige Consumer Healthcare Inc US74112D1019 | 348 | 1.7B $ |
| 1,351 | Magazine Luiza SA BRMGLUACNOR2 | 348 | 277.6M $ |
| 1,352 | Credicorp Ltd BMG2519Y1084 | 347 | 9.2B $ |
| 1,353 | DraftKings Inc US26142V1052 | 347 | 3.7B $ |
| 1,354 | Bridgestone Corp JP3830800003 | 347 | 3.6B $ |
| 1,355 | OSI Systems Inc US6710441055 | 347 | 3.2B $ |
| 1,356 | Qorvo Inc US74736K1016 | 347 | 2.4B $ |
| 1,357 | Cousins Properties Inc US2227955026 | 347 | 1.6B $ |
| 1,358 | Doximity Inc US26622P1075 | 347 | 1.4B $ |
| 1,359 | Novonesis Novozymes B DK0060336014 | 346 | 7.9B $ |
| 1,360 | Vonovia SE DE000A1ML7J1 | 346 | 3.2B $ |
| 1,361 | BOC Hong Kong Holdings Ltd HK2388011192 | 346 | 3.1B $ |
| 1,362 | Carrefour SA FR0000120172 | 346 | 3B $ |
| 1,363 | Rivian Automotive Inc US76954A1034 | 346 | 2.7B $ |
| 1,364 | GEA Group AG DE0006602006 | 346 | 2.6B $ |
| 1,365 | Euronet Worldwide Inc US2987361092 | 346 | 1B $ |
| 1,366 | FUJIFILM Holdings Corp JP3814000000 | 345 | 3.9B $ |
| 1,367 | Resideo Technologies Inc US76118Y1047 | 345 | 3.4B $ |
| 1,368 | EDP SA PTEDP0AM0009 | 345 | 3.1B $ |
| 1,369 | Telstra Group Ltd. AU000000TLS2 | 345 | 2.5B $ |
| 1,370 | Restaurant Brands International Inc CA76131D1033 | 344 | 7B $ |
| 1,371 | Ryanair Holdings PLC IE00BYTBXV33 | 344 | 4.2B $ |
| 1,372 | Wartsila OYJ Abp FI0009003727 | 344 | 4.1B $ |
| 1,373 | Outfront Media Inc US69007J3041 | 344 | 2.6B $ |
| 1,374 | Post Holdings Inc US7374461041 | 344 | 2B $ |
| 1,375 | Dana Inc US2358252052 | 344 | 2B $ |
| 1,376 | Cushman & Wakefield Ltd BMG2717C1064 | 344 | 1.6B $ |
| 1,377 | Kennametal Inc US4891701009 | 344 | 1.5B $ |
| 1,378 | HNI Corp US4042511000 | 344 | 1.3B $ |
| 1,379 | HEICO Corp US4228062083 | 343 | 6.4B $ |
| 1,380 | InterContinental Hotels Group PLC GB00BHJYC057 | 343 | 4B $ |
| 1,381 | CK Hutchison Holdings Ltd KYG217651051 | 343 | 3.4B $ |
| 1,382 | Axalta Coating Systems Ltd BMG0750C1082 | 343 | 2.4B $ |
| 1,383 | Rio Tinto Ltd AU000000RIO1 | 342 | 6.2B $ |
| 1,384 | ABN AMRO Bank NV NL0011540547 | 342 | 3.8B $ |
| 1,385 | VSE Corp US9182841000 | 342 | 3.3B $ |
| 1,386 | United Bankshares Inc/WV US9099071071 | 342 | 2.4B $ |
| 1,387 | Resona Holdings Inc JP3500610005 | 341 | 6B $ |
| 1,388 | Northern Star Resources Ltd AU000000NST8 | 341 | 5.2B $ |
| 1,389 | Krystal Biotech Inc US5011471027 | 341 | 4.1B $ |
| 1,390 | Celanese Corp US1508701034 | 341 | 4B $ |
| 1,391 | Noble Corp PLC GB00BMXNWH07 | 341 | 4B $ |
| 1,392 | Kite Realty Group Trust US49803T3005 | 341 | 2.7B $ |
| 1,393 | M/I Homes Inc US55305B1017 | 341 | 1.7B $ |
| 1,394 | Daikin Industries Ltd JP3481800005 | 340 | 6.4B $ |
| 1,395 | Viper Energy Inc US64361Q1013 | 340 | 4.6B $ |
| 1,396 | Janus Henderson Group PLC JE00BYPZJM29 | 340 | 2B $ |
| 1,397 | Graphic Packaging Holding Co US3886891015 | 340 | 1.5B $ |
| 1,398 | NetScout Systems Inc US64115T1043 | 340 | 1.2B $ |
| 1,399 | Kyndryl Holdings Inc US50155Q1004 | 340 | 1B $ |
| 1,400 | Diodes Inc US2545431015 | 339 | 2.2B $ |