The most widely held companies
Ranked by how many funds declare a position in the company.
30,697 in total
| Rank | Company | Holders | Value |
|---|---|---|---|
| 2,501 | Mineralys Therapeutics Inc US6031701013 | 225 | 621.9M $ |
| 2,502 | Goosehead Insurance Inc US38267D1090 | 225 | 584.1M $ |
| 2,503 | Heritage Financial Corp/WA US42722X1063 | 225 | 459.6M $ |
| 2,504 | Sezzle Inc US78435P1057 | 225 | 404.5M $ |
| 2,505 | EXOR NV NL0012059018 | 224 | 2.4B $ |
| 2,506 | Apellis Pharmaceuticals Inc US03753U1060 | 224 | 1.3B $ |
| 2,507 | BioMerieux FR0013280286 | 224 | 961M $ |
| 2,508 | First Busey Corp US3193832041 | 224 | 593.9M $ |
| 2,509 | GRAIL Inc US3847471014 | 224 | 486.6M $ |
| 2,510 | Metallus Inc US8873991033 | 224 | 338.6M $ |
| 2,511 | AGNC Investment Corp US00123Q1040 | 223 | 1.9B $ |
| 2,512 | Nitori Holdings Co Ltd JP3756100008 | 223 | 1.5B $ |
| 2,513 | Insurance Australia Group Ltd AU000000IAG3 | 223 | 1.5B $ |
| 2,514 | Italgas SpA IT0005211237 | 223 | 1.4B $ |
| 2,515 | Mizrahi Tefahot Bank Ltd IL0006954379 | 223 | 1.2B $ |
| 2,516 | Terns Pharmaceuticals Inc US8808811074 | 223 | 1.2B $ |
| 2,517 | Mitsubishi HC Capital Inc. JP3499800005 | 223 | 1.1B $ |
| 2,518 | Nippon Building Fund Inc JP3027670003 | 223 | 1.1B $ |
| 2,519 | Liberty Global Ltd. BMG611881019 | 223 | 1.1B $ |
| 2,520 | HOCHTIEF AG DE0006070006 | 223 | 1B $ |
| 2,521 | InPost SA LU2290522684 | 223 | 797.4M $ |
| 2,522 | Global Net Lease Inc US3793782018 | 223 | 783.1M $ |
| 2,523 | Pursuit Attractions and Hospitality Inc US92552R4065 | 223 | 454.3M $ |
| 2,524 | Origin Bancorp Inc US68621T1025 | 223 | 395.6M $ |
| 2,525 | iRadimed Corp US46266A1097 | 223 | 250.6M $ |
| 2,526 | CRISPR Therapeutics AG CH0334081137 | 222 | 1.6B $ |
| 2,527 | Chubu Electric Power Co Inc JP3526600006 | 222 | 1.3B $ |
| 2,528 | Park National Corp US7006581075 | 222 | 875M $ |
| 2,529 | StoneCo Ltd KYG851581069 | 222 | 642.4M $ |
| 2,530 | JetBlue Airways Corp US4771431016 | 222 | 544.7M $ |
| 2,531 | Legalzoom.com Inc US52466B1035 | 222 | 329.4M $ |
| 2,532 | Shell PLC US7802593050 | 221 | 9.9B $ |
| 2,533 | Al Rajhi Bank SA0007879113 | 221 | 7.5B $ |
| 2,534 | GLOBALFOUNDRIES Inc KYG393871085 | 221 | 3.5B $ |
| 2,535 | Oriental Land Co Ltd/Japan JP3198900007 | 221 | 1.7B $ |
| 2,536 | Auckland International Airport Ltd NZAIAE0002S6 | 221 | 1.3B $ |
| 2,537 | Idemitsu Kosan Co Ltd JP3142500002 | 221 | 846.3M $ |
| 2,538 | Uniti Group Inc US9129321009 | 221 | 733.3M $ |
| 2,539 | United States Lime & Minerals Inc US9119221029 | 221 | 528.2M $ |
| 2,540 | CareDx Inc US14167L1035 | 221 | 362.5M $ |
| 2,541 | Southside Bancshares Inc US84470P1093 | 221 | 307.7M $ |
| 2,542 | Chocoladefabriken Lindt & Spruengli AG CH0010570767 | 220 | 2.2B $ |
| 2,543 | Power Assets Holdings Ltd HK0006000050 | 220 | 1.6B $ |
| 2,544 | Rigetti Computing Inc US76655K1034 | 220 | 1.1B $ |
| 2,545 | Remitly Global Inc US75960P1049 | 220 | 928.1M $ |
| 2,546 | Medical Properties Trust Inc US58463J3041 | 220 | 832.1M $ |
| 2,547 | Rush Street Interactive Inc US7820111000 | 220 | 831.2M $ |
| 2,548 | Nice Ltd IL0002730112 | 220 | 673.6M $ |
| 2,549 | HKT Trust & HKT Ltd HK0000093390 | 220 | 641.7M $ |
| 2,550 | Cimpress PLC IE00BKYC3F77 | 220 | 632.7M $ |
| 2,551 | TriCo Bancshares US8960951064 | 220 | 616.7M $ |
| 2,552 | Acerinox SA ES0132105018 | 220 | 572.8M $ |
| 2,553 | Live Oak Bancshares Inc US53803X1054 | 220 | 555.3M $ |
| 2,554 | Northrim BanCorp Inc US6667621097 | 220 | 185.1M $ |
| 2,555 | Samsung Fire & Marine Insurance Co Ltd KR7000810002 | 219 | 2.7B $ |
| 2,556 | Groupe Bruxelles Lambert NV BE0003797140 | 219 | 2.4B $ |
| 2,557 | Disc Medicine Inc US2546041011 | 219 | 967.7M $ |
| 2,558 | TOPPAN Holdings Inc JP3629000005 | 219 | 939.1M $ |
| 2,559 | Avolta AG CH0023405456 | 219 | 748.1M $ |
| 2,560 | ZOZO Inc JP3399310006 | 219 | 634M $ |
| 2,561 | Olema Pharmaceuticals Inc US68062P1066 | 219 | 505.3M $ |
| 2,562 | Piedmont Realty Trust Inc US7201902068 | 219 | 343M $ |
| 2,563 | Mercantile Bank Corp US5873761044 | 219 | 256.1M $ |
| 2,564 | Coty Inc US2220702037 | 219 | 243.5M $ |
| 2,565 | HCL Technologies Ltd INE860A01027 | 218 | 64.2B $ |
| 2,566 | CTBC Financial Holding Co Ltd TW0002891009 | 218 | 4.5B $ |
| 2,567 | Airtac International Group KYG014081064 | 218 | 1.8B $ |
| 2,568 | Madison Square Garden Entertainment Corp US5582561032 | 218 | 874.1M $ |
| 2,569 | Daktronics Inc US2342641097 | 218 | 287.2M $ |
| 2,570 | Sprinklr Inc US85208T1079 | 218 | 271.7M $ |
| 2,571 | Bank of Montreal CA0636711016 | 217 | 9.4B $ |
| 2,572 | Woori Financial Group Inc KR7316140003 | 217 | 2.6B $ |
| 2,573 | Stantec Inc CA85472N1096 | 217 | 2.6B $ |
| 2,574 | Kuaishou Technology KYG532631028 | 217 | 2.2B $ |
| 2,575 | Israel Discount Bank Ltd IL0006912120 | 217 | 1.8B $ |
| 2,576 | Meridian Energy Ltd NZMELE0002S7 | 217 | 631.8M $ |
| 2,577 | Axogen Inc US05463X1063 | 217 | 511.2M $ |
| 2,578 | Kyowa Kirin Co Ltd JP3256000005 | 217 | 489.5M $ |
| 2,579 | Byline Bancorp Inc US1244111092 | 217 | 352.2M $ |
| 2,580 | AAK AB SE0011337708 | 216 | 15B $ |
| 2,581 | Saudi National Bank/The SA13L050IE10 | 216 | 5.1B $ |
| 2,582 | Diploma PLC GB0001826634 | 216 | 3.7B $ |
| 2,583 | Energy Fuels Inc/Canada CA2926717083 | 216 | 1.7B $ |
| 2,584 | Open Text Corp CA6837151068 | 216 | 1.4B $ |
| 2,585 | Standard Life PLC GB00BGXQNP29 | 216 | 989.3M $ |
| 2,586 | Aeroports de Paris SA FR0010340141 | 216 | 815.6M $ |
| 2,587 | Intapp Inc US45827U1097 | 216 | 560.9M $ |
| 2,588 | Core Laboratories Inc US21867A1051 | 216 | 396M $ |
| 2,589 | Matthews International Corp US5771281012 | 216 | 351.6M $ |
| 2,590 | Kimball Electronics Inc US49428J1097 | 216 | 205.1M $ |
| 2,591 | Tactile Systems Technology Inc US87357P1003 | 216 | 189.1M $ |
| 2,592 | Hindalco Industries Ltd INE038A01020 | 215 | 50.9B $ |
| 2,593 | Snap Inc US83304A1060 | 215 | 1.2B $ |
| 2,594 | WiseTech Global Ltd AU000000WTC3 | 215 | 1B $ |
| 2,595 | Erasca Inc US29479A1088 | 215 | 964.6M $ |
| 2,596 | Davide Campari-Milano NV NL0015435975 | 215 | 936.5M $ |
| 2,597 | ASX Ltd AU000000ASX7 | 215 | 884.3M $ |
| 2,598 | Figs Inc US30260D1037 | 215 | 831.3M $ |
| 2,599 | CapitaLand Investment Ltd/Singapore SGXE62145532 | 215 | 826.4M $ |
| 2,600 | Covivio SA/France FR0000064578 | 215 | 757.2M $ |