The most widely held companies
Ranked by how many funds declare a position in the company.
30,697 in total
| Rank | Company | Holders | Value |
|---|---|---|---|
| 3,001 | Babcock International Group PLC GB0009697037 | 180 | 1.7B $ |
| 3,002 | iA Financial Corp Inc CA45075E1043 | 180 | 1.3B $ |
| 3,003 | ServiceTitan Inc US81764X1037 | 180 | 1.2B $ |
| 3,004 | Wix.com Ltd IL0011301780 | 180 | 1.1B $ |
| 3,005 | Brookfield Infrastructure Corp CA11276H1064 | 180 | 810.7M $ |
| 3,006 | Priner Servicos Industriais SA BRPRNRACNOR4 | 180 | 305.7M $ |
| 3,007 | Ouster Inc US68989M2026 | 180 | 239.4M $ |
| 3,008 | Manitowoc Co Inc/The US5635714059 | 180 | 157.8M $ |
| 3,009 | Northfield Bancorp Inc US66611T1088 | 180 | 138.6M $ |
| 3,010 | REGENXBIO Inc US75901B1070 | 180 | 122.6M $ |
| 3,011 | Kelly Services Inc US4881522084 | 180 | 97.2M $ |
| 3,012 | Atrium Therapeutics Inc US04965N1046 | 180 | 53.8M $ |
| 3,013 | Ascendis Pharma A/S US04351P1012 | 179 | 3.4B $ |
| 3,014 | Hydro One Ltd CA4488112083 | 179 | 2.5B $ |
| 3,015 | Levi Strauss & Co US52736R1023 | 179 | 915.7M $ |
| 3,016 | UOL Group Ltd SG1S83002349 | 179 | 803.7M $ |
| 3,017 | Titan Machinery Inc US88830R1014 | 179 | 204.1M $ |
| 3,018 | Banco ABC Brasil S.A BRABCBACNPR4 | 179 | 199.5M $ |
| 3,019 | SandRidge Energy Inc US80007P8692 | 179 | 172.5M $ |
| 3,020 | Hovnanian Enterprises Inc US4424874018 | 179 | 146.9M $ |
| 3,021 | Shoe Carnival Inc US8248891090 | 179 | 129.2M $ |
| 3,022 | Nu Skin Enterprises Inc US67018T1051 | 179 | 122.5M $ |
| 3,023 | ACCO Brands Corp US00081T1088 | 179 | 116.4M $ |
| 3,024 | Tech Mahindra Ltd INE669C01036 | 178 | 77B $ |
| 3,025 | Loomis AB SE0014504817 | 178 | 6.6B $ |
| 3,026 | Samsung Life Insurance Co Ltd KR7032830002 | 178 | 3.4B $ |
| 3,027 | Bizlink Holding Inc KYG114741062 | 178 | 2.6B $ |
| 3,028 | George Weston Ltd CA9611485090 | 178 | 1.6B $ |
| 3,029 | Lottery Corp Ltd/The AU0000219529 | 178 | 972.7M $ |
| 3,030 | LG Uplus Corp KR7032640005 | 178 | 864.2M $ |
| 3,031 | ImmunityBio Inc US45256X1037 | 178 | 778.8M $ |
| 3,032 | Ayvens SA FR0013258662 | 178 | 643.8M $ |
| 3,033 | XP INC BRXPBRBDR001 | 178 | 489.8M $ |
| 3,034 | Nuvation Bio Inc US67080N1019 | 178 | 386.3M $ |
| 3,035 | Grendene SA BRGRNDACNOR3 | 178 | 314.1M $ |
| 3,036 | Under Armour Inc US9043112062 | 178 | 274.5M $ |
| 3,037 | Vishay Precision Group Inc US92835K1034 | 178 | 243.1M $ |
| 3,038 | Saul Centers Inc US8043951016 | 178 | 201.1M $ |
| 3,039 | Flushing Financial Corp US3438731057 | 178 | 146.2M $ |
| 3,040 | Mesa Laboratories Inc US59064R1095 | 178 | 141.5M $ |
| 3,041 | Haverty Furniture Cos Inc US4195961010 | 178 | 114.8M $ |
| 3,042 | Vanda Pharmaceuticals Inc US9216591084 | 178 | 110.8M $ |
| 3,043 | Mycronic AB SE0025158629 | 177 | 13.6B $ |
| 3,044 | Pop Mart International Group Ltd KYG7170M1033 | 177 | 1.7B $ |
| 3,045 | BCE Inc CA05534B7604 | 177 | 910.5M $ |
| 3,046 | SGH Ltd AU0000364754 | 177 | 787.8M $ |
| 3,047 | Upstart Holdings Inc US91680M1071 | 177 | 483.8M $ |
| 3,048 | Ellington Financial Inc US28852N1090 | 177 | 438.7M $ |
| 3,049 | Lennar Corp US5260573028 | 177 | 328.7M $ |
| 3,050 | Biohaven Ltd VGG1110E1079 | 177 | 285.9M $ |
| 3,051 | Stagwell Inc US85256A1097 | 177 | 269M $ |
| 3,052 | Lindblad Expeditions Holdings Inc US5352191093 | 177 | 265.4M $ |
| 3,053 | Columbus McKinnon Corp/NY US1993331057 | 177 | 158.5M $ |
| 3,054 | Gray Media Inc US3893751061 | 177 | 135.2M $ |
| 3,055 | First Business Financial Services Inc US3193901002 | 177 | 127.1M $ |
| 3,056 | Arrow Financial Corp US0427441029 | 177 | 119.9M $ |
| 3,057 | Ranger Energy Services Inc US75282U1043 | 177 | 115M $ |
| 3,058 | Aebi Schmidt Holding AG CH0027352993 | 177 | 110.1M $ |
| 3,059 | Stitch Fix Inc US8608971078 | 177 | 100.3M $ |
| 3,060 | Alight Inc US01626W1018 | 177 | 97.6M $ |
| 3,061 | Puma Biotechnology Inc US74587V1070 | 177 | 84.8M $ |
| 3,062 | Bharat Petroleum Corp Ltd INE029A01011 | 176 | 14.4B $ |
| 3,063 | Vedanta Ltd INE205A01025 | 176 | 4.3B $ |
| 3,064 | Cathay Financial Holding Co Ltd TW0002882008 | 176 | 3B $ |
| 3,065 | KGHM Polska Miedz SA PLKGHM000017 | 176 | 2.5B $ |
| 3,066 | Slide Insurance Holdings Inc US8313491057 | 176 | 429M $ |
| 3,067 | Amprius Technologies Inc US03214Q1085 | 176 | 428.8M $ |
| 3,068 | Navitas Semiconductor Corp US63942X1063 | 176 | 419.2M $ |
| 3,069 | VAALCO Energy Inc US91851C2017 | 176 | 180.5M $ |
| 3,070 | Farmers National Banc Corp US3096271073 | 176 | 135.6M $ |
| 3,071 | Bajaj Auto Ltd INE917I01010 | 175 | 47.6B $ |
| 3,072 | Thule Group AB SE0006422390 | 175 | 7.7B $ |
| 3,073 | Unimicron Technology Corp TW0003037008 | 175 | 4.2B $ |
| 3,074 | ENN Energy Holdings Ltd KYG3066L1014 | 175 | 839.7M $ |
| 3,075 | Zensho Holdings Co Ltd JP3429300001 | 175 | 745.4M $ |
| 3,076 | Monday.com Ltd IL0011762130 | 175 | 508.9M $ |
| 3,077 | Park Aerospace Corp US70014A1043 | 175 | 162.2M $ |
| 3,078 | South Plains Financial Inc US83946P1075 | 175 | 140.3M $ |
| 3,079 | Calavo Growers Inc US1282461052 | 175 | 131.3M $ |
| 3,080 | Consolidated Water Co Ltd KYG237731073 | 175 | 130.9M $ |
| 3,081 | Yext Inc US98585N1063 | 175 | 108.4M $ |
| 3,082 | Genesco Inc US3715321028 | 175 | 95.9M $ |
| 3,083 | Regional Management Corp US75902K1060 | 175 | 92.6M $ |
| 3,084 | Elekta AB SE0000163628 | 174 | 4.5B $ |
| 3,085 | Absa Group Ltd ZAE000255915 | 174 | 1.8B $ |
| 3,086 | Alpha Bank SA GRS830003000 | 174 | 1.3B $ |
| 3,087 | Itau Unibanco Holding SA BRITUBACNOR4 | 174 | 795M $ |
| 3,088 | Enliven Therapeutics Inc US29337E1029 | 174 | 518.4M $ |
| 3,089 | PennyMac Mortgage Investment Trust US70931T1034 | 174 | 398.4M $ |
| 3,090 | Bowman Consulting Group Ltd US1030021018 | 174 | 253.3M $ |
| 3,091 | Strattec Security Corp US8631111007 | 174 | 143.9M $ |
| 3,092 | Digital Turbine Inc US25400W1027 | 174 | 91.4M $ |
| 3,093 | Asian Paints Ltd INE021A01026 | 173 | 113B $ |
| 3,094 | NTPC Ltd INE733E01010 | 173 | 71.5B $ |
| 3,095 | Lupin Ltd INE326A01037 | 173 | 20.8B $ |
| 3,096 | Catena AB SE0001664707 | 173 | 6.2B $ |
| 3,097 | Convatec Group PLC GB00BD3VFW73 | 173 | 1.5B $ |
| 3,098 | Evergreen Marine Corp Taiwan Ltd TW0002603008 | 173 | 1.2B $ |
| 3,099 | Carriage Services Inc US1439051079 | 173 | 254.2M $ |
| 3,100 | Equity Bancshares Inc US29460X1090 | 173 | 242.7M $ |