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 |
|---|---|---|---|
| 15,101 | Efor Yatirim Sanayi Ticaret AS TREEFOR00013 · Türkiye | 18 | 6.5M $ |
| 15,102 | Tianjin Capital Environmental Protection Group Co Ltd CNE1000004G9 · China · 2 listed lines | 19 | 6.5M $ |
| 15,103 | Guizhou Panjiang Refined Coal Co Ltd CNE0000017V2 · China | 19 | 6.5M $ |
| 15,104 | NEOVOLTA INC US6406551068 · United States | 15 | 6.4M $ |
| 15,105 | KLCCP Stapled Group MYL5235SS008 · Malaysia | 7 | 6.5M $ |
| 15,106 | INFINITE EAGLE ACQUISITION CORP KYG4802J1031 · Cayman Islands | 2 | 6.4M $ |
| 15,107 | Red Robin Gourmet Burgers Inc US75689M1018 · United States | 22 | 6.5M $ |
| 15,108 | EMSTEEL Building Materials PJSC AEA002801016 · United Arab Emirates | 17 | 6.5M $ |
| 15,109 | Morgan Stanley Emerging Market US6174771047 · United States | 5 | 6.5M $ |
| 15,110 | Dream International Ltd HK1126010854 · Hong Kong SAR China | 25 | 6.4M $ |
| 15,111 | Cambria Gold Mines Inc CA1320631080 · Canada | 3 | 6.5M $ |
| 15,112 | iShares Short-Term National Muni Bond ETF US4642881589 · United States | 3 | 6.5M $ |
| 15,113 | Jiangxi Hongcheng Environment Co Ltd CNE000001HW3 · China | 9 | 6.4M $ |
| 15,114 | Motilal Oswal Finvest Ltd. INE01WN07128 · India | 1 | 6.3M $ |
| 15,115 | EATON VANCE MUNICIPAL INCOME TRUST US2782791048 · United States | 10 | 6.4M $ |
| 15,116 | Fifth Era Acquisition Corp I KYG3415K1013 · Cayman Islands | 13 | 6.3M $ |
| 15,117 | Scottie Resources Corp CA81012R5024 · Canada | 2 | 6.4M $ |
| 15,118 | China Kings Resources Group Co Ltd CNE100002XN6 · China | 15 | 6.4M $ |
| 15,119 | Agora Inc US00851L1035 · Cayman Islands | 18 | 6.4M $ |
| 15,120 | CHEVRON DRN BRCHVXBDR008 · Brazil | 5 | 6.4M $ |
| 15,121 | Zhejiang Dongri CNE000000TC2 · China | 4 | 6.4M $ |
| 15,122 | Guangdong Advertising Group Co Ltd CNE100000P10 · China | 16 | 6.4M $ |
| 15,123 | Counterpoint High Yield Trend US66538R7228 · United States | 2 | 6.4M $ |
| 15,124 | Qinhuangdao Port Co Ltd CNE100001QR3 · China · 2 listed lines | 18 | 6.4M $ |
| 15,125 | Tianjin Development Holdings Ltd HK0882007260 · Hong Kong SAR China | 8 | 6.5M $ |
| 15,126 | Stellar V Capital Corp KYG8475V1297 · Cayman Islands | 1 | 6.4M $ |
| 15,127 | Virtus ETF Trust II US92790A4058 · United States | 1 | 6.3M $ |
| 15,128 | Shanghai Liangxin Electrical Co Ltd CNE100001R74 · China | 18 | 6.4M $ |
| 15,129 | AI INFRASTRUCTURE ACQUISITION CORP KYG013361095 · United States | 10 | 6.3M $ |
| 15,130 | Wall to Wall Group AB SE0016075246 · Sweden | 9 | 6.3M $ |
| 15,131 | Nippon Chemical Industrial Co Ltd JP3691600005 · Japan | 28 | 6.4M $ |
| 15,132 | Ricegrowers Ltd AU0000040982 · Australia | 14 | 6.4M $ |
| 15,133 | Zhejiang Conba Pharmaceutical Co Ltd CNE000001H86 · China | 18 | 6.4M $ |
| 15,134 | Calvert Green Bond Fund US13161P6806 · United States | 2 | 6.3M $ |
| 15,135 | Shanghai Shyndec Pharmaceutical Co Ltd CNE000001JG2 · China | 20 | 6.4M $ |
| 15,136 | Thyrocare Technologies Ltd INE594H01019 · India | 22 | 6.3M $ |
| 15,137 | 364 DAY T-BILL 20.08.26 IN002025Z211 · India | 1 | 6.3M $ |
| 15,138 | SBI ARUHI Corp JP3126290000 · Japan | 19 | 6.4M $ |
| 15,139 | Societe des Bains de Mer et du Cercle des Etrangers a Monaco MC0000031187 · Monaco | 10 | 6.4M $ |
| 15,140 | Bank BTPN Syariah Tbk PT ID1000142805 · Indonesia | 26 | 6.4M $ |
| 15,141 | PIMCO FUNDS US72201M4463 · United States | 1 | 6.3M $ |
| 15,142 | Symphony Ltd INE225D01027 · India | 19 | 6.4M $ |
| 15,143 | Kongsberg Automotive ASA NO0003033102 · Norway | 33 | 6.4M $ |
| 15,144 | M Evo Global Acquisition Corp KYG6071J1022 · United States | 3 | 6.3M $ |
| 15,145 | CNSIG Inner Mongolia Chemical Industry Co Ltd CNE000001618 · China | 20 | 6.4M $ |
| 15,146 | Indo Count Industries Ltd INE483B01026 · India | 25 | 6.4M $ |
| 15,147 | Sinochem International Corp CNE0000011R3 · China | 13 | 6.4M $ |
| 15,148 | Tilly's Inc US8868851028 · United States | 26 | 6.3M $ |
| 15,149 | Gaursons India Pvt. Ltd. INE1BEC07011 · India | 1 | 6.2M $ |
| 15,150 | Triangle Tyre Co Ltd CNE100002GN1 · China | 15 | 6.4M $ |
| 15,151 | Riyue Heavy Industry Co Ltd CNE100003J15 · China | 21 | 6.3M $ |
| 15,152 | Afentra PLC GB00B4X3Q493 · United Kingdom | 13 | 6.3M $ |
| 15,153 | Pollen Street Group Ltd GG00BMHG0H12 · Guernsey | 18 | 6.4M $ |
| 15,154 | PARK DENTAL PARTNERS INC US7004021009 · United States | 13 | 6.3M $ |
| 15,155 | Sea1 offshore Inc KYG812291253 · Cayman Islands | 28 | 6.4M $ |
| 15,156 | Guggenheim Total Return Bond F US40168W5250 · United States | 1 | 6.2M $ |
| 15,157 | BNY Mellon ETF Trust US09661T8009 · United States | 1 | 6.2M $ |
| 15,158 | Zhuzhou Times New Material Technology Co Ltd CNE000001D80 · China | 17 | 6.3M $ |
| 15,159 | Catella AB SE0000188518 · Sweden | 30 | 6.3M $ |
| 15,160 | Nuveen Life International Equity Fund US87244V2034 · United States | 1 | 6.2M $ |
| 15,161 | INVERSION ESCROW IS 6.75% US46150DAA00 · United States | 2 | 6.2M $ |
| 15,162 | Qianhe Condiment and Food Co Ltd CNE1000026G2 · China | 16 | 6.3M $ |
| 15,163 | iShares Defense Industrials Ac US09290C6993 · United States | 1 | 6.2M $ |
| 15,164 | Sinomach Automobile Co Ltd CNE0000017D0 · China | 22 | 6.3M $ |
| 15,165 | GA Technologies Co Ltd/Japan JP3386670008 · Japan | 24 | 6.3M $ |
| 15,166 | GLADSTONE CAPITAL CORP US3765358789 · United States | 2 | 6.2M $ |
| 15,167 | Power Metallic Mines Inc CA73929R1055 · Canada | 6 | 6.3M $ |
| 15,168 | P-Duke Technology Co Ltd TW0008109000 · Taiwan | 20 | 6.3M $ |
| 15,169 | Woojin Inc KR7105840003 · South Korea | 15 | 6.3M $ |
| 15,170 | Strike Energy Ltd AU000000STX7 · Australia | 20 | 6.3M $ |
| 15,171 | Zhejiang Communications Technology Co Ltd CNE000001NF6 · China | 20 | 6.3M $ |
| 15,172 | Jai Balaji Industries Ltd INE091G01026 · India | 16 | 6.3M $ |
| 15,173 | Jiangsu Cnano Technology Co Ltd CNE100003P90 · China | 16 | 6.3M $ |
| 15,174 | Xiamen Intretech Inc CNE1000033H6 · China | 16 | 6.3M $ |
| 15,175 | LPI Capital Bhd MYL8621OO004 · Malaysia | 14 | 6.3M $ |
| 15,176 | MASTERCARD DRN BRMSCDBDR006 · Brazil | 11 | 6.3M $ |
| 15,177 | GFPT PCL TH0297010Z10 · Thailand | 16 | 6.3M $ |
| 15,178 | Vittia SA BRVITTACNOR4 · Brazil | 26 | 6.3M $ |
| 15,179 | Kenorland Minerals Ltd CA48978L1004 · Canada | 2 | 6.3M $ |
| 15,180 | Shanghai Haoyuan Chemexpress Co Ltd CNE1000051J4 · China | 7 | 6.3M $ |
| 15,181 | Clipper Realty Inc US18885T3068 · United States | 72 | 6.2M $ |
| 15,182 | Calvert Small/Mid-Cap Fund US13161X7176 · United States | 3 | 6.2M $ |
| 15,183 | Shanghai Electric Wind Power Group Co Ltd CNE1000051Y3 · China | 7 | 6.3M $ |
| 15,184 | Sichuan Swellfun Co Ltd CNE000000NH4 · China | 18 | 6.3M $ |
| 15,185 | Shanghai Jahwa United Co Ltd CNE0000017K5 · China | 19 | 6.3M $ |
| 15,186 | Solstad Offshore ASA NO0003080608 · Norway | 28 | 6.3M $ |
| 15,187 | Plan B Media Pcl TH6253010R17 · Thailand | 10 | 6.3M $ |
| 15,188 | NOVENTIQ HOLDINGS PLC US83407L2079 · United Kingdom · 2 listed lines | 2 | 6.2M $ |
| 15,189 | Gujarat Ambuja Exports Ltd INE036B01030 · India | 22 | 6.3M $ |
| 15,190 | Magellan Aerospace Corp CA5589122004 · Canada | 18 | 6.3M $ |
| 15,191 | San Holdings Inc JP3286300003 · Japan | 24 | 6.3M $ |
| 15,192 | Beijing Capital Development Co Ltd CNE000001782 · China | 17 | 6.3M $ |
| 15,193 | Frost Total Return Bond Fund US3592468579 · United States | 6 | 6.2M $ |
| 15,194 | Befar Group Co Ltd CNE100000L97 · China | 16 | 6.3M $ |
| 15,195 | Celebi Hava Servisi AS TRACLEBI91M5 · Türkiye | 25 | 6.2M $ |
| 15,196 | China Merchants Port Group Co Ltd CNE000000818 · China | 8 | 6.3M $ |
| 15,197 | SPACSPHERE ACQUISITION CORP KYG8T0881250 · Cayman Islands | 9 | 6.2M $ |
| 15,198 | Cerro de Pasco Resources, Inc. CA1568281051 · Canada | 2 | 6.2M $ |
| 15,199 | Inaba Seisakusho Co Ltd JP3145800003 · Japan | 30 | 6.2M $ |
| 15,200 | Lumi Gruppen AS Ord Shs NO0010927288 · Norway | 1 | 6.1M $ |