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 |
|---|---|---|---|
| 20,101 | Dynamic Holdings Ltd BMG2889K1678 · Hong Kong SAR China | 4 | 1.2M $ |
| 20,102 | iShares 20+ Year Treasury Bond BuyWrite Strategy ETF US46436E3383 · United States | 1 | 1.1M $ |
| 20,103 | TCW Transform Systems ETF US29287L2051 · United States | 1 | 1.2M $ |
| 20,104 | Arab Potash/The JO4104311017 · Jordan | 2 | 1.1M $ |
| 20,105 | Guangzhou Haoyang Electronic Co Ltd CNE100003XY1 · China | 12 | 1.1M $ |
| 20,106 | Wataniya Insurance Co SA12HG541M13 · Saudi Arabia | 11 | 1.1M $ |
| 20,107 | PTG ENERGY PUBLIC COMPANY LIMITED TH4547010009 · Thailand | 5 | 1.1M $ |
| 20,108 | GLOBAL X FUNDS US37954Y3273 · United States | 2 | 1.2M $ |
| 20,109 | Eveready Industries India Ltd INE128A01029 · India | 16 | 1.1M $ |
| 20,110 | Korea Information Certificate Authority Inc KR7053300000 · South Korea | 15 | 1.1M $ |
| 20,111 | Buma Internasional Grup Tbk PT ID1000110505 · Indonesia | 15 | 1.1M $ |
| 20,112 | Liao Ning Oxiranchem Inc CNE100000PC9 · China | 7 | 1.1M $ |
| 20,113 | Shanghai Rongtai Health Technology Corp Ltd CNE100002R81 · China | 3 | 1.1M $ |
| 20,114 | Oramed Pharmaceuticals Inc US68403P2039 · United States | 19 | 1.1M $ |
| 20,115 | Gefran SpA IT0003203947 · Italy | 15 | 1.1M $ |
| 20,116 | Shaanxi Heimao Coking Co Ltd CNE100001VV5 · China | 10 | 1.1M $ |
| 20,117 | MCB Group Ltd MU0424N00005 · Mauritius | 2 | 1.1M $ |
| 20,118 | China Conch Environment Protection Holdings Ltd KYG2124M1015 · Cayman Islands | 16 | 1.1M $ |
| 20,119 | Lang & Schwarz AG DE000LS1LUS9 · Germany | 6 | 1.1M $ |
| 20,120 | SinterCast AB SE0000950982 · Sweden | 13 | 1.1M $ |
| 20,121 | Lotte Innovate Co Ltd KR7286940002 · South Korea | 20 | 1.1M $ |
| 20,122 | Flag Ship Acquisition Corp KYG3530C1096 · United States | 8 | 1.1M $ |
| 20,123 | Osotspa Public Company Limited TH8752010000 · Thailand | 4 | 1.1M $ |
| 20,124 | First Trust Exchange-Traded Fund US3369171091 · United States | 3 | 1.1M $ |
| 20,125 | Passage Bio Inc US7027122099 · United States | 13 | 1.1M $ |
| 20,126 | EUREKA ACQUISITION CORP KYG321681093 · China | 9 | 1.1M $ |
| 20,127 | SP Funds S&P Global Reit Shari US8863647694 · United States | 3 | 1.1M $ |
| 20,128 | Orge Enerji Elektrik Taahhut AS TREORGE00011 · Türkiye | 13 | 1.1M $ |
| 20,129 | Apex Biotechnology Corp TW0001733004 · Taiwan | 15 | 1.1M $ |
| 20,130 | Formosa Oilseed Processing Co Ltd TW0001225001 · Taiwan | 12 | 1.1M $ |
| 20,131 | SRI TRANG GLOVES (THAILAND) PUBLIC COMPANY LIMITED TH9829010Z03 · Thailand | 5 | 1.1M $ |
| 20,132 | Dongwon Systems Corp KR7014820005 · South Korea | 16 | 1.1M $ |
| 20,133 | Guerbet FR0000032526 · France | 17 | 1.1M $ |
| 20,134 | Jiangxi Rimag Group Co Ltd CNE100006HX9 · China | 4 | 1.1M $ |
| 20,135 | Phoenix Tours International Inc TW0005706006 · Taiwan | 14 | 1.1M $ |
| 20,136 | Midwich Group PLC GB00BYSXWW41 · United Kingdom | 13 | 1.1M $ |
| 20,137 | Meghmani Organics Ltd INE0CT101020 · India | 18 | 1.1M $ |
| 20,138 | Oxide Corp JP3193930009 · Japan | 3 | 1.1M $ |
| 20,139 | Refex Industries Ltd INE056I01025 · India | 7 | 1.1M $ |
| 20,140 | Share India Securities Ltd INE932X01026 · India | 16 | 1.1M $ |
| 20,141 | Libertystream Infrastructure Partners Inc CA53155T1084 · Canada | 3 | 1.1M $ |
| 20,142 | FIGX CAPITAL ACQUISITION CORP KYG3473K1269 · Cayman Islands | 8 | 1.1M $ |
| 20,143 | Magni-Tech Industries Bhd MYL7087OO009 · Malaysia | 9 | 1.1M $ |
| 20,144 | Camlin Fine Sciences Ltd INE052I01032 · India | 19 | 1.1M $ |
| 20,145 | Petron Malaysia Refining & Marketing Bhd MYL3042OO008 · Malaysia | 11 | 1.1M $ |
| 20,146 | Baominh Insurance Corp VN000000BMI0 · Vietnam | 1 | 1.1M $ |
| 20,147 | Shenzhen Yitoa Intelligent Control Co Ltd CNE100000VM6 · China | 8 | 1.1M $ |
| 20,148 | Skillz Inc US83067L2088 · United States | 24 | 1.1M $ |
| 20,149 | Fabasoft AG AT0000785407 · Austria | 14 | 1.1M $ |
| 20,150 | Bushiroad Inc JP3829930001 · Japan | 12 | 1.1M $ |
| 20,151 | SEAMEC Ltd INE497B01018 · India | 19 | 1.1M $ |
| 20,152 | ProShares UltraPro Short QQQ US74350P6759 · United States | 3 | 1.1M $ |
| 20,153 | Azimut Exploration, Inc. CA3019501012 · Canada | 2 | 1.1M $ |
| 20,154 | HARVARD BIOSCIENCE INC US4169062043 · United States · 2 listed lines | 13 | 1.1M $ |
| 20,155 | MREIT Inc PHY6143N1073 · Philippines | 2 | 1.1M $ |
| 20,156 | dotdigital group plc GB00B3W40C23 · United Kingdom | 18 | 1.1M $ |
| 20,157 | Ample Electronic Technology Co Ltd TW0004760004 · Taiwan | 9 | 1.1M $ |
| 20,158 | TAIWAN MICROLOOPS CORP TW0006831001 · Taiwan | 2 | 1.1M $ |
| 20,159 | RIVERSTONE CREDIT OPPORTUNITIES INCOME PLC GB00BRBWLX34 · United Kingdom | 1 | 1.1M $ |
| 20,160 | BlackRock MuniYield New York Q US09255E1029 · United States | 5 | 1.1M $ |
| 20,161 | Ten Pao Group Holdings Ltd KYG876031090 · Cayman Islands | 14 | 1.1M $ |
| 20,162 | Traeger Inc US89269P1030 · United States | 17 | 1.1M $ |
| 20,163 | SOLANA CO US42328V8761 · United States | 7 | 1.1M $ |
| 20,164 | Eco&Dream Co Ltd KR7101360006 · South Korea | 11 | 1.1M $ |
| 20,165 | NEUPHORIA THERAPEUTICS INC US64136E1029 · United States | 6 | 1.1M $ |
| 20,166 | Orion Retail Properties Ltd IL0012327503 · Israel | 21 | 1.1M $ |
| 20,167 | Honda India Power Products Ltd INE634A01018 · India | 16 | 1.1M $ |
| 20,168 | Rave Restaurant Group Inc US7541981095 · United States | 18 | 1.1M $ |
| 20,169 | New Era Electronics Co Ltd TW0004909007 · Taiwan | 5 | 1.1M $ |
| 20,170 | MCS Steel PCL TH0851010015 · Thailand | 5 | 1.1M $ |
| 20,171 | ARION BANKI SDR SE0010413567 · Iceland | 6 | 1.1M $ |
| 20,172 | Paras Defence & Space Technologies Ltd INE045601023 · India | 6 | 1.1M $ |
| 20,173 | Profoto Holding AB SE0015962147 · Sweden | 16 | 1.1M $ |
| 20,174 | LINGOTES ESPECIALES SA (EUR) ES0158480311 · Spain | 2 | 1.1M $ |
| 20,175 | Ramky Infrastructure Ltd INE874I01013 · India | 19 | 1.1M $ |
| 20,176 | Gulf Pharmaceutical Industries PSC AEG000201018 · United Arab Emirates | 13 | 1.1M $ |
| 20,177 | Steel Strips Wheels Ltd INE802C01033 · India | 12 | 1.1M $ |
| 20,178 | Webco Industries Inc US9476212074 · United States | 1 | 1.1M $ |
| 20,179 | Indokripto Koin Semesta Tbk PT ID1000211105 · Indonesia | 3 | 1.1M $ |
| 20,180 | ETC WT NATURAL GAS JE00BN7KB334 · Jersey | 3 | 1.1M $ |
| 20,181 | Gdh Supertime Group Co Ltd CNE100005NJ8 · China | 1 | 1.1M $ |
| 20,182 | Korea Asset In Trust Co Ltd KR7123890006 · South Korea | 7 | 1.1M $ |
| 20,183 | Franklin Investors Securities Trust US3536125590 · United States | 1 | 1.1M $ |
| 20,184 | Pharma Foods International Co Ltd JP3802310007 · Japan | 7 | 1.1M $ |
| 20,185 | Chenguang Biotech Group Co Ltd CNE100000WC5 · China | 11 | 1.1M $ |
| 20,186 | Berli Jucker Public Company Limited TH0002010Z06 · Thailand | 5 | 1.1M $ |
| 20,187 | SHANGHAI ACTION EDUCATION TECHNOLOGY CO LTD CNE1000052P9 · China | 4 | 1.1M $ |
| 20,188 | Jianmin Pharmaceutical Group Co Ltd CNE000001HB7 · China | 10 | 1.1M $ |
| 20,189 | Arctic Paper SA PLARTPR00012 · Poland | 17 | 1.1M $ |
| 20,190 | Sinosteel New Materials Co Ltd CNE000001N88 · China | 12 | 1.1M $ |
| 20,191 | Halk Gayrimenkul Yatirim Ortakligi AS TREHLGY00016 · Türkiye | 4 | 1.1M $ |
| 20,192 | Tan Chong International Ltd BMG8667Z1023 · Bermuda | 4 | 1.1M $ |
| 20,193 | Koike Sanso Kogyo Co Ltd JP3284200007 · Japan | 8 | 1.1M $ |
| 20,194 | HEALTH IN TECH INC US42217D1028 · United States | 7 | 1.1M $ |
| 20,195 | Incap Oyj FI0009006407 · Finland | 16 | 1.1M $ |
| 20,196 | Fujian Yuanli Active Carbon Co Ltd CNE100000ZM7 · China | 10 | 1.1M $ |
| 20,197 | NATAC NATURAL INGRED ES0171613005 · Spain | 5 | 1.1M $ |
| 20,198 | Blackstone Strategic Credit 2027 Term Fund US09257R1014 · United States | 4 | 1.1M $ |
| 20,199 | Guangzhou Lingnan Group Holdings Co Ltd CNE000000651 · China | 8 | 1.1M $ |
| 20,200 | Curexo Inc KR7060280005 · South Korea | 10 | 1.1M $ |