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 |
|---|---|---|---|
| 20,201 | Reach Subsea ASA NO0003117202 · Norway | 13 | 1.1M $ |
| 20,202 | FSE Lifestyle Services Ltd KYG3727N1088 · Cayman Islands | 14 | 1.1M $ |
| 20,203 | Neosem Inc KR7253590004 · South Korea | 10 | 1.1M $ |
| 20,204 | TCW Global Real Estate Fund US8723657966 · United States | 1 | 1.1M $ |
| 20,205 | Shenzhen Pagoda Industrial Group Corp Ltd CNE100005RW2 · China | 12 | 1.1M $ |
| 20,206 | Nuburu Inc US67021W4006 · United States | 3 | 1.1M $ |
| 20,207 | ACORN ENERGY INC US0048482063 · United States | 8 | 1.1M $ |
| 20,208 | MOMENTUS INC US60879E4089 · United States | 6 | 1.1M $ |
| 20,209 | What's Cooking BV BE0003573814 · Belgium | 8 | 1.1M $ |
| 20,210 | Info-Tek Corp TW0008183005 · Taiwan | 11 | 1.1M $ |
| 20,211 | Shanghai Hile Bio-Technology Co Ltd CNE1000022T4 · China | 7 | 1.1M $ |
| 20,212 | Optimax Technology Corp TW0003051009 · Taiwan | 19 | 1.1M $ |
| 20,213 | Jiangsu Rongtai Industry Co., Ltd. CNE100005444 · China | 6 | 1.1M $ |
| 20,214 | Samil Pharmaceutical Co Ltd KR7000520007 · South Korea | 11 | 1.1M $ |
| 20,215 | AME Elite Consortium Bhd MYL5293OO005 · Malaysia | 12 | 1.1M $ |
| 20,216 | Lai Sun Development Co Ltd HK0000356821 · Hong Kong SAR China | 9 | 1.1M $ |
| 20,217 | CEL-SCI Corp US1508377066 · United States | 8 | 1.1M $ |
| 20,218 | Realcan Pharmaceutical Group Co Ltd CNE1000013X5 · China | 4 | 1.1M $ |
| 20,219 | Blue Bird Tbk PT ID1000132707 · Indonesia | 20 | 1.1M $ |
| 20,220 | Chengdu Guibao Science & Technology Co Ltd CNE100000GN5 · China | 9 | 1.1M $ |
| 20,221 | M3 Technology Inc TW0006799000 · Taiwan | 16 | 1.1M $ |
| 20,222 | Bannari Amman Sugars Ltd INE459A01010 · India | 11 | 1.1M $ |
| 20,223 | Investcorp Capital plc AEE01354I230 · United Arab Emirates | 3 | 1.1M $ |
| 20,224 | BISI International Tbk PT ID1000105703 · Indonesia | 11 | 1.1M $ |
| 20,225 | Vedan International Holdings Ltd KYG9327M1015 · Cayman Islands | 7 | 1.1M $ |
| 20,226 | BENEFICIENT US08178Q5071 · United States | 5 | 1.1M $ |
| 20,227 | OUTLOOK THERAPEUTICS INC US69012T3059 · United States | 10 | 1.1M $ |
| 20,228 | ESS TECH INC US26916J2050 · United States | 10 | 1.1M $ |
| 20,229 | Central Omega Resources Tbk Pt ID1000124100 · Indonesia | 1 | 1.1M $ |
| 20,230 | Valamar Riviera DD HRRIVPRA0000 · Croatia | 2 | 1.1M $ |
| 20,231 | Guizhou Qianyuan Power Co Ltd CNE000001LK0 · China | 8 | 1.1M $ |
| 20,232 | Bancroft Fund Ltd US0596951063 · United States | 4 | 1.1M $ |
| 20,233 | Voya Emerging Markets High Dividend Equity Fund US92912P1084 · United States | 3 | 1.1M $ |
| 20,234 | Shenzhen VMAX New Energy Group Co Ltd CNE100006L75 · China | 5 | 1.1M $ |
| 20,235 | FineTek Co Ltd TW0004549001 · Taiwan | 13 | 1.1M $ |
| 20,236 | ALLIANCE ENTERTAINMENT HOLDING CORP US01861F1021 · United States | 3 | 1.1M $ |
| 20,237 | SYNTEC OPTICS HOLDINGS INC US87169M1053 · United States | 7 | 1.1M $ |
| 20,238 | Seraphim Space Investment Trus GB00BKPG0138 · United Kingdom | 2 | 1.1M $ |
| 20,239 | Zhejiang Xinhua Chemical Co Ltd CNE100003L60 · China | 8 | 1.1M $ |
| 20,240 | Tsukada Global Holdings Inc JP3835670005 · Japan | 19 | 1.1M $ |
| 20,241 | Gladiator Metals Corp CA37653W1014 · Canada | 2 | 1.1M $ |
| 20,242 | Kenanga Investment Bank Bhd MYL6483OO001 · Malaysia | 11 | 1.1M $ |
| 20,243 | DENISON MINES CORP COMMON STOCK CA2483567921 · Canada | 1 | 1.1M $ |
| 20,244 | Cymechs Inc/Korea KR7160980009 · South Korea | 4 | 1.1M $ |
| 20,245 | Kretam Holdings BHD MYL1996OO007 · Malaysia | 10 | 1.1M $ |
| 20,246 | Nitin Spinners Ltd INE229H01012 · India | 14 | 1.1M $ |
| 20,247 | Garudafood Putra Putri Jaya Tbk PT ID1000145907 · Indonesia | 10 | 1.1M $ |
| 20,248 | Vindhya Telelinks Ltd INE707A01012 · India | 12 | 1.1M $ |
| 20,249 | Mexco Energy Corp US5927701012 · United States | 17 | 1.1M $ |
| 20,250 | Partners Group Private Equity Ltd. GG00B28C2R28 · Guernsey | 1 | 1.1M $ |
| 20,251 | Firefinch Limited AU0000114522 · Australia | 26 | 1.1M $ |
| 20,252 | UNION SEMICONDUCTOR HEFEI CO LTD CNE100005PP0 · China | 2 | 1.1M $ |
| 20,253 | Abu Dhabi Islamic Bank EGS60111C019 · Egypt | 2 | 1.1M $ |
| 20,254 | Precipio Inc US74019L6020 · United States | 12 | 1.1M $ |
| 20,255 | OS THERAPIES INC US68764Y2072 · United States | 9 | 1.1M $ |
| 20,256 | Nampak Ltd ZAE000322095 · South Africa | 13 | 1.1M $ |
| 20,257 | Singapore Shipping Corp Ltd SG1J24887775 · Singapore | 2 | 1.1M $ |
| 20,258 | NEXG Bhd MYL5216OO006 · Malaysia | 16 | 1.1M $ |
| 20,259 | IBTFAS Float 06/11/29 SE0013106176 · Sweden | 1 | 1.1M $ |
| 20,260 | ARTEX Industrial Investment Co SA000A0LF1T0 · Saudi Arabia | 11 | 1.1M $ |
| 20,261 | iShares Euro High Yield Corpor US4642862100 · United States | 1 | 1.1M $ |
| 20,262 | AZEVEDO PN BRAZEVACNPR7 · Brazil | 23 | 1.1M $ |
| 20,263 | ZJAMP Group Co Ltd CNE100002029 · China | 14 | 1.1M $ |
| 20,264 | GoHealth Inc US38046W2044 · United States | 65 | 1.1M $ |
| 20,265 | Chubb Arabia Cooperative Insurance Co SA12A0540O17 · Saudi Arabia | 8 | 1.1M $ |
| 20,266 | LFBANK Float 11/20/29 SE0020052769 · Sweden | 1 | 1.1M $ |
| 20,267 | ATREYU CAPITAL MARKETS LTD IL0010961063 · Israel | 4 | 1.1M $ |
| 20,268 | Orbitech Co Ltd KR7046120002 · South Korea | 6 | 1.1M $ |
| 20,269 | Sheng Yu Steel Co Ltd TW0002029006 · Taiwan | 10 | 1.1M $ |
| 20,270 | Nang Kuang Pharmaceutical Co Ltd TW0001752004 · Taiwan | 16 | 1.1M $ |
| 20,271 | G2D INVEST DR3 BRG2DIBDR002 · Brazil | 17 | 1.1M $ |
| 20,272 | Emirates Driving Co AEE000601014 · United Arab Emirates | 9 | 1.1M $ |
| 20,273 | Jerash Holdings US Inc US47632P1012 · United States | 21 | 1.1M $ |
| 20,274 | Canara Bank( AT1 Bond Under Basel III ) INE476A08225 · India | 1 | 1.1M $ |
| 20,275 | ISLANDSBANKI ISLBAN Float 01/25/27 NO0013132159 · Norway | 1 | 1.1M $ |
| 20,276 | BRAZIL FINANCE GROUP A SE0013359304 · Sweden | 1 | 1.1M $ |
| 20,277 | NYKRE Float 10/01/26 DK0009538738 · Denmark | 1 | 1.1M $ |
| 20,278 | Larvotto Resources Ltd AU0000183253 · Australia | 3 | 1.1M $ |
| 20,279 | Matsuoka Corp JP3863900001 · Japan | 14 | 1.1M $ |
| 20,280 | LH Shopping Centers Leasehold Real Estate Investment Trust TH6180010014 · Thailand | 1 | 1.1M $ |
| 20,281 | HB Technology Co Ltd KR7078150000 · South Korea | 6 | 1.1M $ |
| 20,282 | BasicNet SpA IT0001033700 · Italy | 15 | 1.1M $ |
| 20,283 | Sata Construction Co Ltd JP3319600007 · Japan | 7 | 1.1M $ |
| 20,284 | SF Real Estate Investment Trust HK0000735800 · Hong Kong SAR China | 3 | 1.1M $ |
| 20,285 | Marketingforce Management Ltd KYG6000R1002 · Hong Kong SAR China | 8 | 1.1M $ |
| 20,286 | NOROO Paint & Coatings Co Ltd KR7090350000 · South Korea | 12 | 1.1M $ |
| 20,287 | Desiccant Technology Corp TW0005292007 · Taiwan | 9 | 1.1M $ |
| 20,288 | Beacon Lighting Group Ltd AU000000BLX0 · Australia | 15 | 1.1M $ |
| 20,289 | ClearBridge Large Cap Growth Select ETF US5246822002 · United States | 1 | 1.1M $ |
| 20,290 | BNRFST Float 12/02/30 SE0026275257 · Sweden | 1 | 1M $ |
| 20,291 | KASUMIGASEKI HOTEL REIT INVESTMENT CORP JP3050870009 · Japan | 2 | 1.1M $ |
| 20,292 | Schwab Fundamental U.S. Large Company ETF US8085247711 · United States | 2 | 1.1M $ |
| 20,293 | CELULARITY INC US1511902041 · United States | 8 | 1M $ |
| 20,294 | Nameson Holdings Ltd KYG6362E1017 · Cayman Islands | 12 | 1.1M $ |
| 20,295 | Rayhoo Motor Dies Co Ltd CNE1000046J4 · China | 8 | 1.1M $ |
| 20,296 | E KOCREF CR-REIT KR7088260005 · South Korea | 2 | 1.1M $ |
| 20,297 | A PARADISE ACQUISITION CORP VGG048191271 · British Virgin Islands | 7 | 1M $ |
| 20,298 | Champion Building Materials Co Ltd TW0001806008 · Taiwan | 10 | 1.1M $ |
| 20,299 | Monte Carlo Fashions Ltd INE950M01013 · India | 15 | 1.1M $ |
| 20,300 | Lotte Non-Life Insurance Co Ltd KR7000400002 · South Korea | 15 | 1.1M $ |