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 |
|---|---|---|---|
| 21,101 | Orient Green Power Co Ltd INE999K01014 · India | 15 | 725.9K $ |
| 21,102 | BlackRock Allocation Target Shares US0924803002 · United States | 1 | 712.2K $ |
| 21,103 | NOMADAR CORP US65531Y1064 · United States | 5 | 716.7K $ |
| 21,104 | DevPort AB SE0010546622 · Sweden | 2 | 711.9K $ |
| 21,105 | Yotai Refractories Co Ltd JP3953600008 · Japan | 22 | 716.8K $ |
| 21,106 | Topps Tiles PLC GB00B18P5K83 · United Kingdom | 12 | 724.3K $ |
| 21,107 | Calin Technology Co Ltd TW0004976006 · Taiwan | 8 | 723.1K $ |
| 21,108 | Bangun Kosambi Sukses ID1000208309 · Indonesia | 2 | 725.3K $ |
| 21,109 | Ishares High Yield Corporate B US46436E3201 · United States | 1 | 711K $ |
| 21,110 | US ENERGY CORP US9118053076 · United States | 9 | 715.6K $ |
| 21,111 | Starts Publishing Corp JP3399210008 · Japan | 1 | 709.9K $ |
| 21,112 | Chongqing Construction Engineering Group Corp Ltd CNE100002YR5 · China | 7 | 718.7K $ |
| 21,113 | Double Standard Inc JP3505980007 · Japan | 19 | 716.1K $ |
| 21,114 | VanEck Pharmaceutical ETF US92189F6925 · United States | 1 | 708.6K $ |
| 21,115 | Mammy Mart Holdings Corp JP3870200007 · Japan | 10 | 720.9K $ |
| 21,116 | Sunko INK Co Ltd TW0001721009 · Taiwan | 10 | 720.5K $ |
| 21,117 | Simplify Exchange Traded Funds US82889N5665 · United States | 1 | 707.4K $ |
| 21,118 | STARDUST POWER INC US8549362007 · United States | 8 | 712.2K $ |
| 21,119 | Guizhou Sanli Pharmaceutical Co Ltd CNE1000040B4 · China | 10 | 717.6K $ |
| 21,120 | Mokingran Jewellery Group Co Ltd CNE100006NX7 · China | 1 | 706.5K $ |
| 21,121 | AIRTECH JAPAN,LTD. JP3688100001 · Japan | 10 | 718.8K $ |
| 21,122 | Excellence Commercial Property & Facilities Management Group Ltd KYG3235S1021 · China | 6 | 722.1K $ |
| 21,123 | T3 DEFENSE INC US67054R2031 · United States | 11 | 710.8K $ |
| 21,124 | Xspring Capital PCL TH0472B10Z19 · Thailand | 6 | 718.3K $ |
| 21,125 | Fintel PLC GB00BG1THS43 · United Kingdom | 8 | 707.2K $ |
| 21,126 | Mobiletron Electronics Co Ltd TW0001533008 · Taiwan | 8 | 717.7K $ |
| 21,127 | Shenzhen Ampron Technology Co Ltd CNE100006CL5 · China | 2 | 704.9K $ |
| 21,128 | Dedicare SE0003909282 · Sweden | 11 | 704.7K $ |
| 21,129 | GM Breweries Ltd INE075D01018 · India | 6 | 723.1K $ |
| 21,130 | UNITED HOMES GROUP INC US91060H1086 · United States | 9 | 708.3K $ |
| 21,131 | EKSO BIONICS HOLDINGS INC US2826444000 · United States | 6 | 713.2K $ |
| 21,132 | STL Networks Ltd INE1VXE01018 · India | 18 | 716.5K $ |
| 21,133 | Acrinova AB B SE0015660030 · Sweden | 8 | 704.1K $ |
| 21,134 | Taiwan Line Tek Electronic TW0002462009 · Taiwan | 10 | 717.8K $ |
| 21,135 | Sigachi Industries Ltd INE0D0K01022 · India | 3 | 703.4K $ |
| 21,136 | Chikaranomoto Holdings Co Ltd JP3507780009 · Japan | 11 | 716.5K $ |
| 21,137 | Zhengzhou GL Tech Co Ltd CNE100002151 · China | 6 | 709.7K $ |
| 21,138 | EM-Tech Co Ltd KR7091120006 · South Korea | 14 | 714K $ |
| 21,139 | Federal-Mogul Goetze India Ltd INE529A01010 · India | 13 | 716K $ |
| 21,140 | ProShares Trust US74347X8314 · United States | 2 | 702.3K $ |
| 21,141 | GDI Integrated Facility Services Inc CA3615692058 · Canada | 3 | 720.8K $ |
| 21,142 | Shenzhen Sunmoon Microelectronics Co Ltd CNE100005D84 · China | 1 | 714K $ |
| 21,143 | SHAANXI CONSTRUCTION MACHINERY CO., LTD. CNE000001K40 · China | 3 | 713.9K $ |
| 21,144 | ROBINSON PCL TH0279010Y19 · Thailand | 4 | 701.2K $ |
| 21,145 | Virtus Investment Partners US86164T1079 · United States | 2 | 700.9K $ |
| 21,146 | IAT Automobile Technology Co Ltd CNE100003SL8 · China | 10 | 712.5K $ |
| 21,147 | Thien Long Group Corp VN000000TLG8 · Vietnam | 2 | 711.4K $ |
| 21,148 | TRANE TECH DRN BRI1RPBDR007 · Brazil | 2 | 712.2K $ |
| 21,149 | PROCAP ACQUISITION CORP KYG7257A1132 · Cayman Islands | 7 | 699.8K $ |
| 21,150 | Nanyang Holdings Ltd BMG6362N1011 · Bermuda | 2 | 711.4K $ |
| 21,151 | InnoTek Ltd SG1F66858902 · Singapore | 7 | 712.5K $ |
| 21,152 | Palms Sports PrJSC AEP000201019 · United Arab Emirates | 7 | 709.5K $ |
| 21,153 | Daechang Forging Co Ltd KR7015230006 · South Korea | 11 | 709.4K $ |
| 21,154 | Zanyu Technology Group Co Ltd CNE1000019D4 · China | 9 | 709.3K $ |
| 21,155 | Jain Resource Recycling Ltd. INE0YD401026 · India | 5 | 707.2K $ |
| 21,156 | Apac Realty Ltd SG1DJ0000001 · Singapore | 2 | 694.1K $ |
| 21,157 | CLEARSIGN TECHNOLOGIES CORP US1850641028 · United States · 2 listed lines | 6 | 700K $ |
| 21,158 | ENERGOUS CORP US29272C3016 · United States | 5 | 703.3K $ |
| 21,159 | Fengzhushou Co Ltd CNE100006285 · China | 8 | 704.3K $ |
| 21,160 | Der Future Science & Technology Holding Group Co Ltd CNE100001955 · China | 1 | 705.6K $ |
| 21,161 | Kuwait Financial Centre SAK KW0EQ0200356 · Kuwait | 10 | 706.4K $ |
| 21,162 | BLOKS GROUP LTD KYG1R24P1085 · Cayman Islands | 8 | 693.7K $ |
| 21,163 | Innovator Growth 100 Power Buffer ETF - July US45782C2769 · United States | 2 | 692.7K $ |
| 21,164 | GAEASOFT KR7051160000 · South Korea | 8 | 704.6K $ |
| 21,165 | Shanghai New Huang Pu Industrial Group Co Ltd CNE0000005M6 · China | 1 | 704.2K $ |
| 21,166 | Ebara Foods Industry Inc JP3165930003 · Japan | 15 | 703.2K $ |
| 21,167 | MONAYONGPYONG KR7070960000 · South Korea | 11 | 703.2K $ |
| 21,168 | Jiangsu Yueda Investment Co Ltd CNE000000DY0 · China | 1 | 702.9K $ |
| 21,169 | SPROTT SLVR MINER & PHY S US85208P8730 · United States | 1 | 709K $ |
| 21,170 | China State Construction Development Holdings Ltd KYG8438L1014 · Cayman Islands | 6 | 702K $ |
| 21,171 | Device Co Ltd KR7187870001 · South Korea | 5 | 701.9K $ |
| 21,172 | Direxion Shares ETF Trust US25460E3642 · United States | 3 | 689.6K $ |
| 21,173 | Synthomer PLC GB00BNTVWJ75 · United Kingdom | 14 | 700.5K $ |
| 21,174 | In Win Development Inc TW0006117005 · Taiwan | 12 | 700.4K $ |
| 21,175 | Innovator Growth 100 Power Buffer ETF - January US45782C4666 · United States | 2 | 688.5K $ |
| 21,176 | Osung Advanced Materials Co Ltd KR7052420007 · South Korea | 8 | 700.5K $ |
| 21,177 | Hefei Department Store Group Co Ltd CNE000000BV0 · China | 1 | 700.1K $ |
| 21,178 | F-Tech Inc JP3166950000 · Japan | 16 | 699.5K $ |
| 21,179 | China Ecotek Corp TW0001535003 · Taiwan | 9 | 700.4K $ |
| 21,180 | Excelerate Energy, Inc US2836778546 · United States | 2 | 699.5K $ |
| 21,181 | Asian Granito India Ltd INE022I01019 · India | 10 | 702K $ |
| 21,182 | S-Enjoy Service Group Co Ltd KYG803251068 · Hong Kong SAR China | 12 | 697.6K $ |
| 21,183 | Chuang's Consortium International Ltd BMG2122V1458 · Bermuda | 7 | 698.9K $ |
| 21,184 | BlackRock High Equity Income F US0919297608 · United States | 1 | 686K $ |
| 21,185 | Tidewater Midstream and Infrastructure Ltd CA8864535056 · Canada | 10 | 697.6K $ |
| 21,186 | TAO SYNERGIES INC US87167T3005 · United States | 7 | 689.2K $ |
| 21,187 | VanEck Ethereum ETF US92189L1035 · United States | 1 | 683.5K $ |
| 21,188 | Votum SA PLVOTUM00016 · Poland | 7 | 695.6K $ |
| 21,189 | CR Holdings Co Ltd KR7000480004 · South Korea | 6 | 695.2K $ |
| 21,190 | THE SOUTHERN DRN BRT1SOBDR005 · Brazil | 3 | 695.2K $ |
| 21,191 | Hyundai Bioland Co Ltd KR7052260007 · South Korea | 13 | 693.8K $ |
| 21,192 | Mills Music Trust US6011581088 · United States | 1 | 695K $ |
| 21,193 | RESOLUTE FOREST PRODUCTS INC US761CVR0427 · Canada | 21 | 692.4K $ |
| 21,194 | GENERAL MOT DRN BRGMCOBDR008 · Brazil | 2 | 693K $ |
| 21,195 | NAC Co Ltd JP3651020004 · Japan | 14 | 691.7K $ |
| 21,196 | UNITED AIRLI DRN BRU1ALBDR006 · Brazil | 1 | 692.5K $ |
| 21,197 | Heran Co Ltd TW0005283006 · Taiwan | 13 | 690.6K $ |
| 21,198 | Sukgyung AT Co Ltd KR7357550003 · South Korea | 7 | 692.2K $ |
| 21,199 | Get Nice Holdings Ltd KYG3926K1296 · Cayman Islands | 5 | 691.9K $ |
| 21,200 | GIC Housing Finance Ltd INE289B01019 · India | 10 | 693K $ |