The most widely held companies
Ranked by how many funds declare a position in the company.
30,697 in total
| Rank | Company | Holders | Value |
|---|---|---|---|
| 2,601 | Edgewise Therapeutics Inc US28036F1057 | 215 | 732.2M $ |
| 2,602 | Perella Weinberg Partners US71367G1022 | 215 | 671.5M $ |
| 2,603 | PDF Solutions Inc US6932821050 | 215 | 538.2M $ |
| 2,604 | CRA International Inc US12618T1051 | 215 | 416.9M $ |
| 2,605 | Gold.com Inc US00181T1079 | 215 | 344.9M $ |
| 2,606 | Myriad Genetics Inc US62855J1043 | 215 | 117.7M $ |
| 2,607 | Eicher Motors Ltd INE066A01021 | 214 | 54B $ |
| 2,608 | Bank Polska Kasa Opieki SA PLPEKAO00016 | 214 | 1.8B $ |
| 2,609 | GPGI INC US20459V1052 | 214 | 1.6B $ |
| 2,610 | CGI Inc CA12532H1047 | 214 | 1.5B $ |
| 2,611 | Tandem Diabetes Care Inc US8753722037 | 214 | 530.6M $ |
| 2,612 | QCR Holdings Inc US74727A1043 | 214 | 491.7M $ |
| 2,613 | XPEL Inc US98379L1008 | 214 | 451.4M $ |
| 2,614 | Atlas Energy Solutions Inc US6420451089 | 214 | 427.8M $ |
| 2,615 | Papa John's International Inc US6988131024 | 214 | 370.5M $ |
| 2,616 | Preformed Line Products Co US7404441047 | 214 | 359.4M $ |
| 2,617 | Certara Inc US15687V1098 | 214 | 339.9M $ |
| 2,618 | N-able Inc/US US62878D1000 | 214 | 181.7M $ |
| 2,619 | United Microelectronics Corp TW0002303005 | 213 | 3.6B $ |
| 2,620 | Nippon Sanso Holdings Corp JP3711600001 | 213 | 1.2B $ |
| 2,621 | Baldwin Insurance Group Inc/The US05589G1022 | 213 | 1B $ |
| 2,622 | Hong Kong & China Gas Co Ltd HK0003000038 | 213 | 985.8M $ |
| 2,623 | CapitaLand Ascendas REIT SG1M77906915 | 213 | 965.6M $ |
| 2,624 | Airtel Africa PLC GB00BKDRYJ47 | 213 | 861.3M $ |
| 2,625 | Ubiquiti Inc US90353W1036 | 213 | 573.6M $ |
| 2,626 | Globant SA LU0974299876 | 213 | 478.3M $ |
| 2,627 | Tootsie Roll Industries Inc US8905161076 | 213 | 335.4M $ |
| 2,628 | World Acceptance Corp US9814191048 | 213 | 163.1M $ |
| 2,629 | Alimentation Couche-Tard Inc CA01626P1484 | 212 | 5.7B $ |
| 2,630 | Helvetia Baloise Holding AG CH0466642201 | 212 | 2.6B $ |
| 2,631 | Samsung Biologics Co Ltd KR7207940008 | 212 | 2.5B $ |
| 2,632 | Stellar Bancorp Inc US8589271068 | 212 | 565.3M $ |
| 2,633 | Clearway Energy Inc US18539C1053 | 212 | 527.2M $ |
| 2,634 | TriMas Corp US8962152091 | 212 | 515.8M $ |
| 2,635 | Insperity Inc US45778Q1076 | 212 | 470.4M $ |
| 2,636 | Five9 Inc US3383071012 | 212 | 409M $ |
| 2,637 | Flywire Corp US3024921039 | 212 | 401.9M $ |
| 2,638 | Mativ Holdings Inc US8085411069 | 212 | 233.9M $ |
| 2,639 | Southern Missouri Bancorp Inc US8433801060 | 212 | 180.4M $ |
| 2,640 | Grid Dynamics Holdings Inc US39813G1094 | 212 | 175.8M $ |
| 2,641 | Aveanna Healthcare Holdings Inc US05356F1057 | 212 | 151.8M $ |
| 2,642 | Maruti Suzuki India Ltd INE585B01010 | 211 | 98.7B $ |
| 2,643 | China Life Insurance Co Ltd CNE1000002L3 | 211 | 3.4B $ |
| 2,644 | Origin Energy Ltd AU000000ORG5 | 211 | 1.7B $ |
| 2,645 | Immunome Inc US45257U1088 | 211 | 1.1B $ |
| 2,646 | Swatch Group AG/The CH0012255151 | 211 | 1B $ |
| 2,647 | Centuri Holdings Inc US1559231055 | 211 | 1B $ |
| 2,648 | Vera Therapeutics Inc US92337R1014 | 211 | 760.2M $ |
| 2,649 | Monte Rosa Therapeutics Inc US61225M1027 | 211 | 387.2M $ |
| 2,650 | United Parks & Resorts Inc US81282V1008 | 211 | 355.7M $ |
| 2,651 | PRA Group Inc US69354N1063 | 211 | 278M $ |
| 2,652 | Cracker Barrel Old Country Store Inc US22410J1060 | 211 | 260.1M $ |
| 2,653 | OneSpan Inc US68287N1000 | 211 | 141.6M $ |
| 2,654 | Ecovyst Inc US27923Q1094 | 210 | 598.2M $ |
| 2,655 | ProPetro Holding Corp US74347M1080 | 210 | 530.8M $ |
| 2,656 | Merchants Bancorp/IN US58844R1086 | 210 | 476.3M $ |
| 2,657 | Astrana Health Inc US03763A2078 | 210 | 388.7M $ |
| 2,658 | Myers Industries Inc US6284641098 | 210 | 371.3M $ |
| 2,659 | Old Second Bancorp Inc US6802771005 | 210 | 297.1M $ |
| 2,660 | MarineMax Inc US5679081084 | 210 | 261.4M $ |
| 2,661 | Monro Inc US6102361010 | 210 | 235.4M $ |
| 2,662 | Powszechny Zaklad Ubezpieczen SA PLPZU0000011 | 209 | 1.6B $ |
| 2,663 | Hankyu Hanshin Holdings Inc JP3774200004 | 209 | 853.3M $ |
| 2,664 | First Advantage Corp US31846B1089 | 209 | 709.5M $ |
| 2,665 | Guardian Pharmacy Services Inc US40145W1018 | 209 | 424.6M $ |
| 2,666 | Heartland Express Inc US4223471040 | 209 | 225.4M $ |
| 2,667 | NETGEAR Inc US64111Q1040 | 209 | 206M $ |
| 2,668 | Kforce Inc US4937321010 | 209 | 194.1M $ |
| 2,669 | Shutterstock Inc US8256901005 | 209 | 150.2M $ |
| 2,670 | SSAB AB SE0000120669 | 208 | 7.4B $ |
| 2,671 | Geely Automobile Holdings Ltd KYG3777B1032 | 208 | 1.9B $ |
| 2,672 | Weichai Power Co Ltd CNE1000004L9 | 208 | 1.8B $ |
| 2,673 | Phoenix Financial Ltd IL0007670123 | 208 | 1.5B $ |
| 2,674 | Globalstar Inc US3789735079 | 208 | 875.2M $ |
| 2,675 | Futu Holdings Ltd US36118L1061 | 208 | 821.4M $ |
| 2,676 | Rational AG DE0007010803 | 208 | 699.5M $ |
| 2,677 | Miami International Holdings Inc US59356Q1085 | 208 | 681.5M $ |
| 2,678 | Green Plains Inc US3932221043 | 208 | 408.2M $ |
| 2,679 | Vestis Corp US29430C1027 | 208 | 384.8M $ |
| 2,680 | Excelerate Energy Inc US30069T1016 | 208 | 383.6M $ |
| 2,681 | WaVe Life Sciences Ltd SG9999014716 | 208 | 366.6M $ |
| 2,682 | Intelbras SA Industria de Telecomunicacao Eletronica Brasileira BRINTBACNOR9 | 208 | 182.8M $ |
| 2,683 | Sun Life Financial Inc CA8667961053 | 207 | 4B $ |
| 2,684 | Entain PLC IM00B5VQMV65 | 207 | 1.5B $ |
| 2,685 | Kawasaki Kisen Kaisha Ltd JP3223800008 | 207 | 758.7M $ |
| 2,686 | Tsuruha Holdings Inc JP3536150000 | 207 | 681.9M $ |
| 2,687 | Intellia Therapeutics Inc US45826J1051 | 207 | 622.7M $ |
| 2,688 | Freshworks Inc US3580541049 | 207 | 466.7M $ |
| 2,689 | Trupanion Inc US8982021060 | 207 | 399.3M $ |
| 2,690 | NWPX Infrastructure Inc US6677461013 | 207 | 307.6M $ |
| 2,691 | Marcus & Millichap Inc US5663241090 | 207 | 294.1M $ |
| 2,692 | LSI Industries Inc US50216C1080 | 207 | 215M $ |
| 2,693 | Anima Holding SA BRANIMACNOR6 | 207 | 207.7M $ |
| 2,694 | Theravance Biopharma Inc KYG8807B1068 | 207 | 163.7M $ |
| 2,695 | Vale SA US91912E1055 | 206 | 4.3B $ |
| 2,696 | FirstService Corp CA33767E2024 | 206 | 2.1B $ |
| 2,697 | Air Lease Corp US00912X3026 | 206 | 1.9B $ |
| 2,698 | D-Wave Quantum Inc US26740W1099 | 206 | 1.2B $ |
| 2,699 | Vicinity Ltd AU000000VCX7 | 206 | 778.6M $ |
| 2,700 | Braze Inc US10576N1028 | 206 | 708.5M $ |