The most widely held companies
Ranked by how many funds declare a position in the company.
30,697 in total
| Rank | Company | Holders | Value |
|---|---|---|---|
| 3,401 | Anika Therapeutics Inc US0352551081 | 156 | 36.8M $ |
| 3,402 | Sectra AB SE0022419784 | 155 | 9.1B $ |
| 3,403 | AddLife AB SE0014401378 | 155 | 4.9B $ |
| 3,404 | Saudi Arabian Oil Co SA14TG012N13 | 155 | 4.2B $ |
| 3,405 | Chunghwa Telecom Co Ltd TW0002412004 | 155 | 2.2B $ |
| 3,406 | Public Bank Bhd MYL1295OO004 | 155 | 2.1B $ |
| 3,407 | Nedbank Group Ltd ZAE000004875 | 155 | 1.2B $ |
| 3,408 | MOL Hungarian Oil & Gas PLC HU0000153937 | 155 | 936.7M $ |
| 3,409 | New China Life Insurance Co Ltd CNE100001922 | 155 | 718.8M $ |
| 3,410 | TFS Financial Corp US87240R1077 | 155 | 222.9M $ |
| 3,411 | Green Dot Corp US39304D1028 | 155 | 158.7M $ |
| 3,412 | Summit Hotel Properties Inc US8660821005 | 155 | 141.2M $ |
| 3,413 | Rocky Brands Inc US7745151008 | 155 | 99M $ |
| 3,414 | El Pollo Loco Holdings Inc US2686031079 | 155 | 98.8M $ |
| 3,415 | Grindr Inc US39854F1012 | 155 | 97.6M $ |
| 3,416 | Clearwater Paper Corp US18538R1032 | 155 | 94.8M $ |
| 3,417 | Capital Bancorp Inc US1397371006 | 155 | 77.7M $ |
| 3,418 | Dave & Buster's Entertainment Inc US2383371091 | 155 | 71.7M $ |
| 3,419 | Ribbon Communications Inc US7625441040 | 155 | 71.1M $ |
| 3,420 | Franklin Covey Co US3534691098 | 155 | 61.5M $ |
| 3,421 | American Coastal Insurance Corp US9107101027 | 155 | 57.6M $ |
| 3,422 | Starz Entertainment Corp CA8559191066 | 155 | 40.3M $ |
| 3,423 | Varun Beverages Ltd INE200M01039 | 154 | 26.7B $ |
| 3,424 | Munters Group AB SE0009806607 | 154 | 5.2B $ |
| 3,425 | Grupo Aeroportuario del Pacifico SAB de CV MX01GA000004 | 154 | 1.7B $ |
| 3,426 | SK Telecom Co Ltd KR7017670001 | 154 | 1.1B $ |
| 3,427 | Bullish KYG169101204 | 154 | 675.9M $ |
| 3,428 | Taysha Gene Therapies Inc US8776191061 | 154 | 242.9M $ |
| 3,429 | Hingham Institution For Savings The US4333231029 | 154 | 174.4M $ |
| 3,430 | Root Inc/OH US77664L2079 | 154 | 147.5M $ |
| 3,431 | First Community Bankshares Inc US31983A1034 | 154 | 145.1M $ |
| 3,432 | Radiant Logistics Inc US75025X1000 | 154 | 107.5M $ |
| 3,433 | OrthoPediatrics Corp US68752L1008 | 154 | 81.1M $ |
| 3,434 | ChoiceOne Financial Services Inc US1703861062 | 154 | 78.8M $ |
| 3,435 | Raizen SA BRRAIZACNPR6 | 154 | 65.7M $ |
| 3,436 | Flexsteel Industries Inc US3393821034 | 154 | 57M $ |
| 3,437 | Playtika Holding Corp US72815L1070 | 154 | 53.5M $ |
| 3,438 | Turtle Beach Corp US9004502061 | 154 | 37.4M $ |
| 3,439 | Coal India Ltd INE522F01014 | 153 | 41.2B $ |
| 3,440 | Storebrand ASA NO0003053605 | 153 | 3.2B $ |
| 3,441 | Samsung SDI Co Ltd KR7006400006 | 153 | 3.1B $ |
| 3,442 | Baidu Inc US0567521085 | 153 | 2.3B $ |
| 3,443 | British Land Co PLC/The GB0001367019 | 153 | 1B $ |
| 3,444 | Jiangsu Hengrui Pharmaceuticals Co Ltd CNE0000014W7 | 153 | 770.6M $ |
| 3,445 | TIC Solutions Inc US00510N1028 | 153 | 510.7M $ |
| 3,446 | BigBear.ai Holdings Inc US08975B1098 | 153 | 280.9M $ |
| 3,447 | Genius Sports Ltd GG00BMF1JR16 | 153 | 240.5M $ |
| 3,448 | Alexander's Inc US0147521092 | 153 | 200.2M $ |
| 3,449 | Mechanics Bancorp US43785V1026 | 153 | 145.1M $ |
| 3,450 | Camping World Holdings Inc US13462K1097 | 153 | 137M $ |
| 3,451 | Daily Journal Corp US2339121046 | 153 | 125.1M $ |
| 3,452 | Orange County Bancorp Inc US68417L1070 | 153 | 78.3M $ |
| 3,453 | Spok Holdings Inc US84863T1060 | 153 | 45.1M $ |
| 3,454 | Sinch AB SE0016101844 | 152 | 4B $ |
| 3,455 | SinoPac Financial Holdings Co Ltd TW0002890001 | 152 | 1.7B $ |
| 3,456 | Accelleron Industries AG CH1169360919 | 152 | 1.6B $ |
| 3,457 | Krafton Inc KR7259960003 | 152 | 1.5B $ |
| 3,458 | Sibanye Stillwater Ltd ZAE000259701 | 152 | 1.3B $ |
| 3,459 | APR Corp/Korea KR7278470000 | 152 | 1.1B $ |
| 3,460 | Hikma Pharmaceuticals PLC GB00B0LCW083 | 152 | 657.6M $ |
| 3,461 | Kunlun Energy Co Ltd BMG5320C1082 | 152 | 559.3M $ |
| 3,462 | Unicaja Banco SA ES0180907000 | 152 | 533.4M $ |
| 3,463 | Calumet Inc US1314281049 | 152 | 435.8M $ |
| 3,464 | Red Cat Holdings Inc US75644T1007 | 152 | 394.6M $ |
| 3,465 | Aehr Test Systems US00760J1088 | 152 | 389.6M $ |
| 3,466 | Voyager Technologies Inc US92892B1035 | 152 | 269.1M $ |
| 3,467 | Cooper-Standard Holdings Inc US21676P1030 | 152 | 108.7M $ |
| 3,468 | B&G Foods Inc US05508R1068 | 152 | 102.1M $ |
| 3,469 | Granite Ridge Resources Inc US3874321074 | 152 | 99.4M $ |
| 3,470 | Sprout Social Inc US85209W1099 | 152 | 99M $ |
| 3,471 | Arcturus Therapeutics Holdings Inc US03969T1097 | 152 | 94.4M $ |
| 3,472 | Latham Group Inc US51819L1070 | 152 | 81.2M $ |
| 3,473 | Fulcrum Therapeutics Inc US3596161097 | 152 | 80M $ |
| 3,474 | First Bank/Hamilton NJ US31931U1025 | 152 | 78.8M $ |
| 3,475 | First Internet Bancorp US3205571017 | 152 | 51M $ |
| 3,476 | Lands' End Inc US51509F1057 | 152 | 48.1M $ |
| 3,477 | Resources Connection Inc US76122Q1058 | 152 | 37.9M $ |
| 3,478 | Adani Ports & Special Economic Zone Ltd INE742F01042 | 151 | 57.7B $ |
| 3,479 | Nestle India Ltd INE239A01024 | 151 | 31.6B $ |
| 3,480 | Ashok Leyland Ltd INE208A01029 | 151 | 13.9B $ |
| 3,481 | GSK PLC US37733W2044 | 151 | 7.3B $ |
| 3,482 | Billerud Aktiebolag SE0000862997 | 151 | 3.1B $ |
| 3,483 | Celltrion Inc KR7068270008 | 151 | 2.5B $ |
| 3,484 | Hansoh Pharmaceutical Group Co Ltd KYG549581067 | 151 | 1.4B $ |
| 3,485 | Lottomatica Group Spa IT0005541336 | 151 | 1.3B $ |
| 3,486 | Zhongji Innolight Co Ltd CNE100001CY9 | 151 | 1.1B $ |
| 3,487 | Novagold Resources Inc CA66987E2069 | 151 | 703.8M $ |
| 3,488 | Swire Properties Ltd HK0000063609 | 151 | 512.6M $ |
| 3,489 | Firefly Aerospace Inc US31816X1063 | 151 | 323.8M $ |
| 3,490 | LSB Industries Inc US5021601043 | 151 | 203M $ |
| 3,491 | Firstsun Capital Bancorp US33767U1079 | 151 | 138.2M $ |
| 3,492 | Columbia Financial Inc US1976411033 | 151 | 121.5M $ |
| 3,493 | Metrocity Bankshares Inc US59165J1051 | 151 | 114.8M $ |
| 3,494 | Red River Bancshares Inc US75686R2022 | 151 | 96M $ |
| 3,495 | Hippo Holdings Inc US4335392027 | 151 | 92.9M $ |
| 3,496 | Clearfield Inc US18482P1030 | 151 | 89.7M $ |
| 3,497 | SITE Centers Corp US82981J8514 | 151 | 87.3M $ |
| 3,498 | Aspen Aerogels Inc US04523Y1055 | 151 | 78.4M $ |
| 3,499 | Conduent Inc US2067871036 | 151 | 65.5M $ |
| 3,500 | Unisys Corp US9092143067 | 151 | 52.2M $ |