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 |
|---|---|---|---|
| 16,101 | Templeton Emerging Markets Inc US8801921094 · United States | 4 | 4.8M $ |
| 16,102 | Alma Media Oyj FI0009013114 · Finland | 21 | 4.8M $ |
| 16,103 | Hunan Er-Kang Pharmaceutical Co Ltd CNE100001781 · China | 16 | 4.8M $ |
| 16,104 | Hennessy Advisors Inc US4258851009 · United States | 27 | 4.7M $ |
| 16,105 | Zeus Co Ltd KR7079370003 · South Korea | 17 | 4.8M $ |
| 16,106 | Dohome PCL TH9301010012 · Thailand | 11 | 4.8M $ |
| 16,107 | GrowGeneration Corp US39986L1098 · United States | 21 | 4.7M $ |
| 16,108 | Al Yamamah Steel Industries Co SA1420I0KC11 · Saudi Arabia | 13 | 4.8M $ |
| 16,109 | WATAMI Co Ltd JP3993900004 · Japan | 16 | 4.8M $ |
| 16,110 | Keshun Waterproof Technologies Co Ltd CNE1000035W0 · China | 21 | 4.8M $ |
| 16,111 | WELLS FARGO DRN BRWFCOBDR009 · Brazil | 7 | 4.8M $ |
| 16,112 | Kailuan Energy Chemical Co Ltd CNE000001HX1 · China | 14 | 4.8M $ |
| 16,113 | Bloomberry Resorts Corp PHY0927M1046 · Philippines | 20 | 4.8M $ |
| 16,114 | BIOMA EDUC ON BRBIEDACNOR2 · Brazil | 3 | 4.8M $ |
| 16,115 | Prakash Industries Ltd INE603A01013 · India | 21 | 4.8M $ |
| 16,116 | First Insurance Co Ltd/The TW0002852001 · Taiwan | 20 | 4.8M $ |
| 16,117 | Adicet Bio Inc US0070022076 · United States | 14 | 4.7M $ |
| 16,118 | Northeast Pharmaceutical Group Co Ltd CNE0000009G0 · China | 17 | 4.8M $ |
| 16,119 | Hengbao Co Ltd CNE000001Q69 · China | 11 | 4.7M $ |
| 16,120 | Wuxi Boton Technology Co Ltd CNE100000JD0 · China | 19 | 4.8M $ |
| 16,121 | PIMCO NEW YORK MUNICIPAL INCOME FUND II US72200Y1029 · United States | 4 | 4.7M $ |
| 16,122 | Transamerica Morgan Stanley Capital Growth VP US89360C6214 · United States | 1 | 4.7M $ |
| 16,123 | Capital Group Ultra Short Inco US14020Y8883 · United States | 1 | 4.7M $ |
| 16,124 | Ultra Chip Inc TW0003141008 · Taiwan | 20 | 4.8M $ |
| 16,125 | FERDE AS FERDEN Float 01/26/27 NO0012423534 · Norway | 1 | 4.7M $ |
| 16,126 | Dubai Residential REIT AEE01657D252 · United Arab Emirates | 7 | 4.7M $ |
| 16,127 | Artiva Biotherapeutics Inc US04317A1079 · United States | 19 | 4.7M $ |
| 16,128 | Asian Star Anchor Chain Co Ltd Jiangsu CNE100000Y76 · China | 13 | 4.8M $ |
| 16,129 | iShares Trust US46429B6149 · United States | 2 | 4.7M $ |
| 16,130 | Takashima & Co Ltd JP3455600001 · Japan | 16 | 4.7M $ |
| 16,131 | OXB GB00BDFBVT43 · United Kingdom | 15 | 4.7M $ |
| 16,132 | NATWEST GROUP NWG 3.575 09/12/32 XS2898838516 · United Kingdom | 1 | 4.7M $ |
| 16,133 | Huizhou Speed Wireless Technology Co Ltd CNE100001F03 · China | 3 | 4.7M $ |
| 16,134 | Alpha Exploration VGG3198S1074 · British Virgin Islands | 2 | 4.7M $ |
| 16,135 | Eaton Vance Municipal Bond Fund US27827X1019 · United States | 4 | 4.7M $ |
| 16,136 | Sanwei Holding Group Co Ltd CNE100002ZZ5 · China | 13 | 4.7M $ |
| 16,137 | OceanaGold Philippines Inc PH0000058638 · Philippines | 17 | 4.8M $ |
| 16,138 | State Street Institutional Treasury Money Market Fund US8574928888 · United States | 5 | 4.7M $ |
| 16,139 | Chongqing Genrix Biopharmaceutical Co Ltd CNE100006KG8 · China | 7 | 4.7M $ |
| 16,140 | Cosmecca Korea Co Ltd KR7241710003 · South Korea | 13 | 4.7M $ |
| 16,141 | Shandong Jinjing Science & Technology Co Ltd CNE000001C57 · China | 16 | 4.7M $ |
| 16,142 | Bharat Sanchar Nigam Ltd. INE103D08021 · India | 1 | 4.6M $ |
| 16,143 | Worldex Industry & Trading Co Ltd KR7101160000 · South Korea | 18 | 4.7M $ |
| 16,144 | Chugai Ro Co Ltd JP3519800001 · Japan | 21 | 4.7M $ |
| 16,145 | Jiangsu Asia-Pacific Light Alloy Technology Co Ltd CNE100000Z67 · China | 19 | 4.7M $ |
| 16,146 | Sichuan Jiuzhou Electric Co Ltd CNE0000000B0 · China | 8 | 4.7M $ |
| 16,147 | PANTAGES CAPITAL ACQUISITION CORP KYG8089R1002 · Cayman Islands | 3 | 4.6M $ |
| 16,148 | Maezawa Kasei Industries Co Ltd JP3860250004 · Japan | 12 | 4.7M $ |
| 16,149 | HCM Defender 100 Index ETF US66538R7483 · United States | 2 | 4.6M $ |
| 16,150 | Ho Chi Minh City Development Joint Stock Commercial Bank VN000000HDB1 · Vietnam | 6 | 4.7M $ |
| 16,151 | Nyab AB SE0022242434 · Sweden | 5 | 4.6M $ |
| 16,152 | Oyak Yatirim Menkul Degerler AS TREOYMD00017 · Türkiye | 11 | 4.7M $ |
| 16,153 | New Issuer: BB Company ID:52893231 CNE1000066L8 · China | 8 | 4.7M $ |
| 16,154 | Forward Industries Inc US3499321038 · United States | 5 | 4.6M $ |
| 16,155 | Valuetronics Holdings Ltd BMG9316Y1084 · Bermuda | 12 | 4.7M $ |
| 16,156 | North Huajin Chemical Industries Co Ltd CNE000000NY9 · China | 16 | 4.7M $ |
| 16,157 | Joyoung Co Ltd CNE100000BQ9 · China | 17 | 4.7M $ |
| 16,158 | Nanfang Pump Industry Co Ltd CNE100000XH2 · China | 13 | 4.7M $ |
| 16,159 | SunMax Biotechnology Co Ltd TW0004728001 · Taiwan | 16 | 4.7M $ |
| 16,160 | AMRAM AVRAHAM CONSTRUCTION COMPANY LTD IL0011882003 · Israel | 5 | 4.7M $ |
| 16,161 | Magyar Bancorp Inc US55977T2087 · United States | 28 | 4.7M $ |
| 16,162 | AVOLDALE HILLS PREFERRED USD (PRIVATE DEAL) DU0US0007400 · United States | 1 | 4.6M $ |
| 16,163 | Zhejiang Huatong Meat Products Co Ltd CNE100002CF6 · China | 15 | 4.7M $ |
| 16,164 | BondBloxx ETF Trust US09789C8468 · United States | 1 | 4.6M $ |
| 16,165 | CO2 ENERGY TRANSITION CORP US12664M1036 · United States | 7 | 4.6M $ |
| 16,166 | Duluth Holdings Inc US26443V1017 · United States | 34 | 4.6M $ |
| 16,167 | Pumtech Korea Co Ltd KR7251970000 · South Korea | 18 | 4.7M $ |
| 16,168 | Anhui Xinhua Media Co Ltd CNE100000KB2 · China | 14 | 4.7M $ |
| 16,169 | KBC GROUP NV KBCBB 3 08/25/30 BE0002875566 · Belgium | 1 | 4.6M $ |
| 16,170 | Guangzhou Wondfo Biotech Co Ltd CNE100002102 · China | 19 | 4.7M $ |
| 16,171 | Xiamen Jihong Technology Co Ltd CNE1000027L0 · China | 15 | 4.7M $ |
| 16,172 | ELIXIRR INTERNATIONAL PLC GB00BLPHTX84 · United Kingdom | 10 | 4.7M $ |
| 16,173 | J P Morgan Exchange Traded Fund Trust US46641Q2176 · United States | 4 | 4.6M $ |
| 16,174 | DIO Corp KR7039840004 · South Korea | 23 | 4.7M $ |
| 16,175 | Itcenglobal Co Ltd KR7124500000 · South Korea | 10 | 4.7M $ |
| 16,176 | Beijing Balance Medical Technology Co Ltd CNE100005X15 · China | 12 | 4.7M $ |
| 16,177 | Citic Offshore Helicopter Co Ltd CNE0000013Q1 · China | 5 | 4.7M $ |
| 16,178 | SPDR INDEX SHARES FUNDS US78463X2027 · United States | 4 | 4.6M $ |
| 16,179 | iShares J.P. Morgan EM High Yi US4642862852 · United States | 4 | 4.6M $ |
| 16,180 | CGN Nuclear Technology Development Co Ltd CNE000000842 · China | 18 | 4.7M $ |
| 16,181 | Jeju Air Co Ltd KR7089590004 · South Korea | 18 | 4.7M $ |
| 16,182 | NEPES Corp KR7033640004 · South Korea | 19 | 4.7M $ |
| 16,183 | Chemtrade Logistics Income Fund CA16387P1036 · Canada | 7 | 4.7M $ |
| 16,184 | FESCO Group Co Ltd CNE000000GS5 · China | 19 | 4.7M $ |
| 16,185 | F/M High Yield 100 ETF US74933W1971 · United States | 1 | 4.7M $ |
| 16,186 | Shenzhen Ysstech Info-tech Co Ltd CNE100001RS9 · China | 7 | 4.7M $ |
| 16,187 | Corp Interamericana de Entretenimiento SAB de CV MXP201161017 · Mexico | 3 | 4.7M $ |
| 16,188 | Origin Investment Corp I KYG677511001 · Cayman Islands | 9 | 4.6M $ |
| 16,189 | NanJi E-Commerce Co Ltd CNE100000080 · China | 22 | 4.7M $ |
| 16,190 | Qua Granite Hayal TREQAGR00022 · Türkiye | 17 | 4.7M $ |
| 16,191 | JPP Holding Co Ltd KYG521131006 · Taiwan | 18 | 4.7M $ |
| 16,192 | Guangdong Shenglu Telecommunication Tech Co Ltd CNE100000RF8 · China | 13 | 4.7M $ |
| 16,193 | INFORMATION PLANNING CO JP3393500008 · Japan | 3 | 4.7M $ |
| 16,194 | INCLUSIO SA BE0974374069 · Belgium | 1 | 4.7M $ |
| 16,195 | Kalyani Steels Ltd INE907A01026 · India | 18 | 4.7M $ |
| 16,196 | SA International Value Fund US78386T8669 · United States | 1 | 4.6M $ |
| 16,197 | Jiangsu Yinhe Electronics Co Ltd CNE100000XD1 · China | 12 | 4.6M $ |
| 16,198 | CANTON STRATEGIC HOLDINGS INC US4327053090 · United States | 10 | 4.6M $ |
| 16,199 | Nitto Seiko Co Ltd JP3682800002 · Japan | 26 | 4.7M $ |
| 16,200 | CISCO DRN BRCSCOBDR004 · Brazil | 6 | 4.7M $ |