The most widely held companies
Ranked by how many funds declare a position in the company.
30,697 in total
| Rank | Company | Holders | Value |
|---|---|---|---|
| 2,701 | Nissan Motor Co Ltd JP3672400003 | 206 | 657.6M $ |
| 2,702 | Apollo Commercial Real Estate Finance, Inc. US03762U1051 | 206 | 512.6M $ |
| 2,703 | Enviri Corp US4158641070 | 206 | 504M $ |
| 2,704 | Revolve Group Inc US76156B1070 | 206 | 446.8M $ |
| 2,705 | Relay Therapeutics Inc US75943R1023 | 206 | 438.9M $ |
| 2,706 | BrightView Holdings Inc US10948C1071 | 206 | 309.8M $ |
| 2,707 | SunCoke Energy Inc US86722A1034 | 206 | 208.8M $ |
| 2,708 | Peloton Interactive Inc US70614W1009 | 205 | 682.7M $ |
| 2,709 | Gecina SA FR0010040865 | 205 | 560.8M $ |
| 2,710 | ADTRAN Holdings Inc US00486H1059 | 205 | 441.2M $ |
| 2,711 | Safehold Inc US78646V1070 | 205 | 310.1M $ |
| 2,712 | American Woodmark Corp US0305061097 | 205 | 233.2M $ |
| 2,713 | Ironwood Pharmaceuticals Inc US46333X1081 | 205 | 174.5M $ |
| 2,714 | Larsen & Toubro Ltd INE018A01030 | 204 | 256.8B $ |
| 2,715 | Sun Pharmaceutical Industries Ltd INE044A01036 | 204 | 118.2B $ |
| 2,716 | Piraeus Bank SA GRS831003009 | 204 | 2.5B $ |
| 2,717 | Arca Continental SAB de CV MX01AC100006 | 204 | 2.1B $ |
| 2,718 | Pennant Group Inc/The US70805E1091 | 204 | 350.2M $ |
| 2,719 | AnaptysBio Inc US0327241065 | 204 | 327.8M $ |
| 2,720 | Rigel Pharmaceuticals Inc US7665597024 | 204 | 166.5M $ |
| 2,721 | Shriram Finance Ltd INE721A01047 | 203 | 42.1B $ |
| 2,722 | Gold Fields Ltd ZAE000018123 | 203 | 5.7B $ |
| 2,723 | Impala Platinum Holdings Ltd ZAE000083648 | 203 | 2.8B $ |
| 2,724 | WuXi AppTec Co Ltd CNE100003F19 | 203 | 1.9B $ |
| 2,725 | HD Korea Shipbuilding & Offshore Engineering Co Ltd KR7009540006 | 203 | 1.4B $ |
| 2,726 | Hikari Tsushin Inc JP3783420007 | 203 | 917.7M $ |
| 2,727 | Plug Power Inc US72919P2020 | 203 | 846M $ |
| 2,728 | Eagle Bancorp Inc US2689481065 | 203 | 275.7M $ |
| 2,729 | Schrodinger Inc/United States US80810D1037 | 203 | 267.4M $ |
| 2,730 | NexPoint Residential Trust Inc US65341D1028 | 203 | 220.1M $ |
| 2,731 | HomeTrust Bancshares Inc US4378721041 | 203 | 179.1M $ |
| 2,732 | WSP Global Inc CA92938W2022 | 202 | 6.9B $ |
| 2,733 | Richter Gedeon Nyrt HU0000123096 | 202 | 1.7B $ |
| 2,734 | Realtek Semiconductor Corp TW0002379005 | 202 | 1.6B $ |
| 2,735 | Nelnet Inc US64031N1081 | 202 | 648.4M $ |
| 2,736 | AvePoint Inc US0536041041 | 202 | 413.8M $ |
| 2,737 | Pagseguro Digital Ltd KYG687071012 | 202 | 347.5M $ |
| 2,738 | Corsair Gaming Inc US22041X1028 | 202 | 120.6M $ |
| 2,739 | ORLEN SA PLPKN0000018 | 201 | 2.8B $ |
| 2,740 | ASPEED Technology Inc TW0005274005 | 201 | 2.7B $ |
| 2,741 | RLJ Lodging Trust US74965L1017 | 201 | 388M $ |
| 2,742 | RealReal Inc/The US88339P1012 | 201 | 374.6M $ |
| 2,743 | Empire State Realty Trust Inc US2921041065 | 201 | 332.6M $ |
| 2,744 | Bandwidth Inc US05988J1034 | 201 | 190.4M $ |
| 2,745 | SmartFinancial Inc US83190L2088 | 201 | 164.5M $ |
| 2,746 | Bloomin' Brands Inc US0942351083 | 201 | 142.8M $ |
| 2,747 | KT&G Corp KR7033780008 | 200 | 3.4B $ |
| 2,748 | ANTA Sports Products Ltd KYG040111059 | 200 | 2.2B $ |
| 2,749 | Mitsui OSK Lines Ltd JP3362700001 | 200 | 1.5B $ |
| 2,750 | Sands China Ltd KYG7800X1079 | 200 | 862.2M $ |
| 2,751 | Ivanhoe Electric Inc / US US46578C1080 | 200 | 651M $ |
| 2,752 | CBIZ Inc US1248051021 | 200 | 620.3M $ |
| 2,753 | JBG SMITH Properties US46590V1008 | 200 | 375.9M $ |
| 2,754 | Compass Minerals International Inc US20451N1019 | 200 | 329.7M $ |
| 2,755 | Dimed SA Distribuidora da Medicamentos BRPNVLACNOR9 | 200 | 193.6M $ |
| 2,756 | LendingTree Inc US52603B1070 | 200 | 147.7M $ |
| 2,757 | National Bank of Canada CA6330671034 | 199 | 5.9B $ |
| 2,758 | Samsung Electro-Mechanics Co Ltd KR7009150004 | 199 | 3.4B $ |
| 2,759 | Hensoldt AG DE000HAG0005 | 199 | 1B $ |
| 2,760 | HeartFlow Inc US42238D1072 | 199 | 693.5M $ |
| 2,761 | Soleno Therapeutics Inc US8342033094 | 199 | 648.3M $ |
| 2,762 | Gorman-Rupp Co/The US3830821043 | 199 | 581.9M $ |
| 2,763 | Limbach Holdings Inc US53263P1057 | 199 | 443.5M $ |
| 2,764 | Under Armour Inc US9043111072 | 199 | 369.6M $ |
| 2,765 | Ennis Inc US2933891028 | 199 | 254.3M $ |
| 2,766 | Barrett Business Services Inc US0684631080 | 199 | 252.8M $ |
| 2,767 | Hertz Global Holdings Inc US42806J7000 | 199 | 207.3M $ |
| 2,768 | SIGA Technologies Inc US8269171067 | 199 | 70.7M $ |
| 2,769 | Clearwater Analytics Holdings Inc US1851231068 | 198 | 1.8B $ |
| 2,770 | Seadrill Ltd BMG7997W1029 | 198 | 853.3M $ |
| 2,771 | Ameresco Inc US02361E1082 | 198 | 696.7M $ |
| 2,772 | Lineage Inc US53566V1061 | 198 | 650.1M $ |
| 2,773 | Marqeta Inc US57142B1044 | 198 | 584.1M $ |
| 2,774 | Peoples Bancorp Inc/OH US7097891011 | 198 | 369.9M $ |
| 2,775 | Montrose Environmental Group Inc US6151111019 | 198 | 317.9M $ |
| 2,776 | Mister Car Wash Inc US60646V1052 | 198 | 262.5M $ |
| 2,777 | Cars.com Inc US14575E1055 | 198 | 232.5M $ |
| 2,778 | Forum Energy Technologies Inc US34984V2097 | 198 | 218.6M $ |
| 2,779 | Covenant Logistics Group Inc US22284P1057 | 198 | 193.3M $ |
| 2,780 | Power Grid Corp of India Ltd INE752E01010 | 197 | 60B $ |
| 2,781 | Wihlborgs Fastigheter AB SE0018012635 | 197 | 7.2B $ |
| 2,782 | Innovent Biologics Inc KYG4818G1010 | 197 | 2.5B $ |
| 2,783 | Liberty Live Holdings Inc US5309093087 | 197 | 1.9B $ |
| 2,784 | Sealed Air Corp US81211K1007 | 197 | 1.8B $ |
| 2,785 | Barry Callebaut AG CH0009002962 | 197 | 1.8B $ |
| 2,786 | DB Insurance Co Ltd KR7005830005 | 197 | 1.4B $ |
| 2,787 | Gitlab Inc US37637K1088 | 197 | 940.6M $ |
| 2,788 | DigitalBridge Group Inc US25401T6038 | 197 | 697.6M $ |
| 2,789 | Seaboard Corp US8115431079 | 197 | 604M $ |
| 2,790 | Novocure Ltd JE00BYSS4X48 | 197 | 431.6M $ |
| 2,791 | Forestar Group Inc US3462321015 | 197 | 383.6M $ |
| 2,792 | Camden National Corp US1330341082 | 197 | 308.9M $ |
| 2,793 | Business First Bancshares Inc US12326C1053 | 197 | 247.4M $ |
| 2,794 | First Mid Bancshares Inc US3208661062 | 197 | 231.3M $ |
| 2,795 | Central Garden & Pet Co US1535271068 | 197 | 185.6M $ |
| 2,796 | Cross Country Healthcare Inc US2274831047 | 197 | 108.3M $ |
| 2,797 | Unity Bancorp Inc US9132901029 | 197 | 103.5M $ |
| 2,798 | Castellum AB SE0000379190 | 196 | 6.6B $ |
| 2,799 | Quanta Computer Inc TW0002382009 | 196 | 4B $ |
| 2,800 | Standard Bank Group Ltd ZAE000109815 | 196 | 3.3B $ |