The most widely held companies
Ranked by how many funds declare a position in the company.
30,697 in total
| Rank | Company | Holders | Value |
|---|---|---|---|
| 2,301 | Newell Brands Inc US6512291062 | 242 | 678.5M $ |
| 2,302 | Winmark Corp US9742501029 | 242 | 622.2M $ |
| 2,303 | SIMPAR SA BRSIMHACNOR0 | 242 | 315.3M $ |
| 2,304 | Hyundai Mobis Co Ltd KR7012330007 | 241 | 5.4B $ |
| 2,305 | JFrog Ltd IL0011684185 | 241 | 2.6B $ |
| 2,306 | Santos Ltd AU000000STO6 | 241 | 2.5B $ |
| 2,307 | Salmar ASA NO0010310956 | 241 | 2.5B $ |
| 2,308 | Rithm Capital Corp US64828T2015 | 241 | 1.5B $ |
| 2,309 | Shimizu Corp. JP3358800005 | 241 | 1.3B $ |
| 2,310 | Singapore Airlines Ltd SG1V61937297 | 241 | 1.1B $ |
| 2,311 | Rakuten Group Inc JP3967200001 | 241 | 1B $ |
| 2,312 | Tarsus Pharmaceuticals Inc US87650L1035 | 241 | 875.4M $ |
| 2,313 | Arlo Technologies Inc US04206A1016 | 241 | 782.4M $ |
| 2,314 | Lakeland Financial Corp US5116561003 | 241 | 670.9M $ |
| 2,315 | Wendy's Co/The US95058W1009 | 241 | 444.7M $ |
| 2,316 | Ethan Allen Interiors Inc US2976021046 | 241 | 281.6M $ |
| 2,317 | HD Hyundai Electric Co Ltd KR7267260008 | 240 | 2.8B $ |
| 2,318 | Land Securities Group PLC GB00BYW0PQ60 | 240 | 1.3B $ |
| 2,319 | Thermon Group Holdings Inc US88362T1034 | 240 | 969.5M $ |
| 2,320 | First Commonwealth Financial Corp US3198291078 | 240 | 876.9M $ |
| 2,321 | Sysmex Corp JP3351100007 | 240 | 759.2M $ |
| 2,322 | Scholastic Corp US8070661058 | 240 | 419.3M $ |
| 2,323 | SK Square Co Ltd KR7402340004 | 239 | 11.5B $ |
| 2,324 | Lenovo Group Ltd HK0992009065 | 239 | 2.3B $ |
| 2,325 | Associated British Foods PLC GB0006731235 | 239 | 1.9B $ |
| 2,326 | Keppel Ltd SG1U68934629 | 239 | 1.7B $ |
| 2,327 | MINEBEA MITSUMI Inc JP3906000009 | 239 | 1.3B $ |
| 2,328 | Sanrio Co Ltd JP3343200006 | 239 | 847.7M $ |
| 2,329 | Cochlear Ltd AU000000COH5 | 239 | 830.4M $ |
| 2,330 | Spectrum Brands Holdings Inc US84790A1051 | 239 | 756.4M $ |
| 2,331 | Bristow Group Inc US11040G1031 | 239 | 530.8M $ |
| 2,332 | TrustCo Bank Corp NY US8983492047 | 239 | 326.6M $ |
| 2,333 | Vulcabras SA BRVULCACNOR2 | 239 | 253.4M $ |
| 2,334 | Heritage Insurance Holdings Inc US42727J1025 | 239 | 220.3M $ |
| 2,335 | MTN Group Ltd ZAE000042164 | 238 | 4.9B $ |
| 2,336 | Gildan Activewear Inc CA3759161035 | 238 | 4.4B $ |
| 2,337 | Shimano Inc JP3358000002 | 238 | 2.3B $ |
| 2,338 | Toray Industries Inc JP3621000003 | 238 | 1.3B $ |
| 2,339 | Figure Technology Solutions Inc US3493811034 | 238 | 724.7M $ |
| 2,340 | Veris Residential Inc US5544891048 | 238 | 611.8M $ |
| 2,341 | BioLife Solutions Inc US09062W2044 | 238 | 474.3M $ |
| 2,342 | Unitil Corp US9132591077 | 238 | 378.7M $ |
| 2,343 | Koppers Holdings Inc US50060P1066 | 238 | 344.2M $ |
| 2,344 | National Beverage Corp US6350171061 | 238 | 329.3M $ |
| 2,345 | Insteel Industries Inc US45774W1080 | 238 | 293.1M $ |
| 2,346 | Independent Bank Corp/MI US4538386099 | 238 | 244M $ |
| 2,347 | Wal-Mart de Mexico SAB de CV MX01WA000038 | 237 | 4.4B $ |
| 2,348 | Caris Life Sciences Inc US1421521071 | 237 | 1.1B $ |
| 2,349 | Marriott Vacations Worldwide Corp US57164Y1073 | 237 | 900.8M $ |
| 2,350 | Herbalife Ltd KYG4412G1010 | 237 | 541.6M $ |
| 2,351 | Marten Transport Ltd US5730751089 | 237 | 434.4M $ |
| 2,352 | Oracle Corp Japan JP3689500001 | 237 | 393.4M $ |
| 2,353 | Chiba Bank Ltd/The JP3511800009 | 236 | 1.5B $ |
| 2,354 | AP Moller - Maersk A/S DK0010244425 | 236 | 1.3B $ |
| 2,355 | IAC Inc US44891N2080 | 236 | 1.1B $ |
| 2,356 | Select Water Solutions Inc US81617J3014 | 236 | 788.6M $ |
| 2,357 | ANA Holdings Inc JP3429800000 | 236 | 716.6M $ |
| 2,358 | TriNet Group Inc US8962881079 | 236 | 407.3M $ |
| 2,359 | Teladoc Health Inc US87918A1051 | 236 | 312.2M $ |
| 2,360 | Fox Factory Holding Corp US35138V1026 | 236 | 262.3M $ |
| 2,361 | Naspers Ltd ZAE000351946 | 235 | 6B $ |
| 2,362 | Baidu Inc KYG070341048 | 235 | 5B $ |
| 2,363 | Trip.com Group Ltd KYG9066F1019 | 235 | 4.4B $ |
| 2,364 | PICC Property & Casualty Co Ltd CNE100000593 | 235 | 2.7B $ |
| 2,365 | South32 Ltd AU000000S320 | 235 | 1.6B $ |
| 2,366 | Medibank Pvt Ltd AU000000MPL3 | 235 | 1.2B $ |
| 2,367 | JFE Holdings, Inc. JP3386030005 | 235 | 1.1B $ |
| 2,368 | MGE Energy Inc US55277P1049 | 235 | 1B $ |
| 2,369 | Delek US Holdings Inc US24665A1034 | 235 | 988.7M $ |
| 2,370 | D'ieteren Group BE0974259880 | 235 | 868.2M $ |
| 2,371 | Perrigo Co PLC IE00BGH1M568 | 235 | 769.8M $ |
| 2,372 | Howard Hughes Holdings Inc US44267T1025 | 235 | 735.8M $ |
| 2,373 | Ingles Markets Inc US4570301048 | 235 | 649.6M $ |
| 2,374 | Middlesex Water Co US5966801087 | 235 | 422.1M $ |
| 2,375 | Xencor Inc US98401F1057 | 235 | 419.5M $ |
| 2,376 | Douglas Dynamics Inc US25960R1059 | 235 | 392.5M $ |
| 2,377 | Navient Corp US63938C1080 | 235 | 291.9M $ |
| 2,378 | Xiaomi Corp KYG9830T1067 | 234 | 7B $ |
| 2,379 | Marex Group PLC GB00BMT7GT62 | 234 | 1.5B $ |
| 2,380 | Link REIT HK0823032773 | 234 | 1.4B $ |
| 2,381 | Eisai Co Ltd JP3160400002 | 234 | 1.3B $ |
| 2,382 | Yokohama Financial Group Inc JP3305990008 | 234 | 1.2B $ |
| 2,383 | Japan Post Insurance Co Ltd JP3233250004 | 234 | 1.1B $ |
| 2,384 | Hulic Co Ltd JP3360800001 | 234 | 1.1B $ |
| 2,385 | IMAX Corp CA45245E1097 | 234 | 840.6M $ |
| 2,386 | Arcutis Biotherapeutics Inc US03969K1088 | 234 | 769.2M $ |
| 2,387 | Teekay Tankers Ltd BMG8726X1065 | 234 | 641.8M $ |
| 2,388 | BioCryst Pharmaceuticals Inc US09058V1035 | 234 | 617.3M $ |
| 2,389 | JD Sports Fashion PLC GB00BM8Q5M07 | 234 | 580M $ |
| 2,390 | ConnectOne Bancorp Inc US20786W1071 | 234 | 438.4M $ |
| 2,391 | Fortrea Holdings Inc US34965K1079 | 234 | 378.9M $ |
| 2,392 | QuinStreet Inc US74874Q1004 | 234 | 243.6M $ |
| 2,393 | Industrial & Commercial Bank of China Ltd CNE1000003G1 | 233 | 7.2B $ |
| 2,394 | Intact Financial Corp CA45823T1066 | 233 | 5.3B $ |
| 2,395 | HDFC Bank Ltd US40415F1012 | 233 | 2.9B $ |
| 2,396 | CLP Holdings Ltd HK0002007356 | 233 | 1.6B $ |
| 2,397 | Hut 8 Corp US44812J1043 | 233 | 1.4B $ |
| 2,398 | Amer Sports Inc KYG0260P1028 | 233 | 1.3B $ |
| 2,399 | Oscar Health Inc US6877931096 | 233 | 853.6M $ |
| 2,400 | REA Group Ltd AU000000REA9 | 233 | 692.2M $ |