The most widely held companies
Ranked by how many funds declare a position in the company.
30,697 in total
| Rank | Company | Holders | Value |
|---|---|---|---|
| 4,001 | Alta Equipment Group Inc US02128L1061 | 127 | 26.2M $ |
| 4,002 | America's Car-Mart Inc/TX US03062T1051 | 127 | 24.4M $ |
| 4,003 | Sleep Number Corp US83125X1037 | 127 | 22.6M $ |
| 4,004 | Avenue Supermarts Ltd INE192R01011 | 126 | 28.5B $ |
| 4,005 | Colgate-Palmolive India Ltd INE259A01022 | 126 | 18B $ |
| 4,006 | British American Tobacco PLC US1104481072 | 126 | 8B $ |
| 4,007 | National Aluminium Co Ltd INE139A01034 | 126 | 4.1B $ |
| 4,008 | Resonac Holdings Corp JP3368000000 | 126 | 2.3B $ |
| 4,009 | Dixon Technologies India Ltd INE935N01020 | 126 | 1.9B $ |
| 4,010 | POSCO Holdings Inc KR7005490008 | 126 | 1.9B $ |
| 4,011 | Nan Ya Plastics Corp TW0001303006 | 126 | 1.6B $ |
| 4,012 | MISUMI Group Inc JP3885400006 | 126 | 1B $ |
| 4,013 | China Gold International Resources Corp Ltd CA16890P1036 | 126 | 961.4M $ |
| 4,014 | Zijin Gold International Co Ltd HK0001200002 | 126 | 908.4M $ |
| 4,015 | Regis Resources Ltd AU000000RRL8 | 126 | 869.2M $ |
| 4,016 | Yapi ve Kredi Bankasi AS TRAYKBNK91N6 | 126 | 829.2M $ |
| 4,017 | New Oriental Education & Technology Group Inc KYG6470A1168 | 126 | 755.6M $ |
| 4,018 | Dubai Islamic Bank PJSC AED000201015 | 126 | 722M $ |
| 4,019 | NSK Ltd JP3720800006 | 126 | 530.7M $ |
| 4,020 | Sinotruk Hong Kong Ltd HK3808041546 | 126 | 417.5M $ |
| 4,021 | Versigent PLC JE00BWK75100 | 126 | 201.6M $ |
| 4,022 | Bitdeer Technologies Group KYG114481008 | 126 | 171.6M $ |
| 4,023 | Arbutus Biopharma Corp CA03879J1003 | 126 | 146.1M $ |
| 4,024 | FrontView REIT Inc US35922N1000 | 126 | 105.1M $ |
| 4,025 | Farmland Partners Inc US31154R1095 | 126 | 102M $ |
| 4,026 | Greif Inc US3976242061 | 126 | 93.7M $ |
| 4,027 | RxSight Inc US78349D1072 | 126 | 55M $ |
| 4,028 | Limoneira Co US5327461043 | 126 | 41.1M $ |
| 4,029 | Godrej Consumer Products Ltd INE102D01028 | 125 | 11.4B $ |
| 4,030 | NMDC Ltd INE584A01023 | 125 | 10.9B $ |
| 4,031 | SAP SE US8030542042 | 125 | 2.2B $ |
| 4,032 | Suzlon Energy Ltd INE040H01021 | 125 | 1.4B $ |
| 4,033 | China Yangtze Power Co Ltd CNE000001G87 | 125 | 1B $ |
| 4,034 | SM Investments Corp PHY806761029 | 125 | 569.4M $ |
| 4,035 | Amada Co Ltd JP3122800000 | 125 | 474.1M $ |
| 4,036 | Want Want China Holdings Ltd KYG9431R1039 | 125 | 459.1M $ |
| 4,037 | McGraw Hill Inc US5809071039 | 125 | 195.8M $ |
| 4,038 | Atlanta Braves Holdings Inc US0477261046 | 125 | 119.7M $ |
| 4,039 | UroGen Pharma Ltd IL0011407140 | 125 | 106.5M $ |
| 4,040 | Bed Bath & Beyond Inc US6903701018 | 125 | 92.2M $ |
| 4,041 | Northpointe Bancshares Inc US66661N8864 | 125 | 88.8M $ |
| 4,042 | Weyco Group Inc US9621491003 | 125 | 48.9M $ |
| 4,043 | Larimar Therapeutics Inc US5171251003 | 125 | 42.8M $ |
| 4,044 | Codexis Inc US1920051067 | 125 | 31.4M $ |
| 4,045 | Addnode Group AB SE0017885767 | 124 | 3.8B $ |
| 4,046 | Wallenstam AB SE0017780133 | 124 | 3B $ |
| 4,047 | Medicover AB SE0009778848 | 124 | 2.9B $ |
| 4,048 | Atrium Ljungberg AB SE0024320832 | 124 | 2.6B $ |
| 4,049 | Equinox Gold Corp CA29446Y5020 | 124 | 2.6B $ |
| 4,050 | ASMPT Ltd KYG0535Q1331 | 124 | 1.5B $ |
| 4,051 | Hua Nan Financial Holdings Co Ltd TW0002880002 | 124 | 1.2B $ |
| 4,052 | China Resources Mixc Lifestyle Services Ltd KYG2122G1064 | 124 | 1B $ |
| 4,053 | AtkinsRealis Group Inc CA04764T1049 | 124 | 889.8M $ |
| 4,054 | Balfour Beatty PLC GB0000961622 | 124 | 817.7M $ |
| 4,055 | Adecco Group AG CH0012138605 | 124 | 698.2M $ |
| 4,056 | Umicore SA BE0974320526 | 124 | 662.3M $ |
| 4,057 | Hengan International Group Co Ltd KYG4402L1510 | 124 | 394.8M $ |
| 4,058 | Almirall SA ES0157097017 | 124 | 338M $ |
| 4,059 | Valid Solucoes e Servicos de Seguranca em Meios de Pagamento e Identificacao SA BRVLIDACNOR5 | 124 | 334.5M $ |
| 4,060 | Allfunds Group Plc GB00BNTJ3546 | 124 | 310.7M $ |
| 4,061 | Savara Inc US8051111016 | 124 | 195.9M $ |
| 4,062 | Cannae Holdings Inc US13765N1072 | 124 | 108.1M $ |
| 4,063 | Black Rock Coffee Bar Inc US0922441029 | 124 | 103.6M $ |
| 4,064 | Solid Biosciences Inc US83422E2046 | 124 | 101.3M $ |
| 4,065 | One Liberty Properties Inc US6824061039 | 124 | 85.2M $ |
| 4,066 | 3D Systems Corp US88554D2053 | 124 | 74.2M $ |
| 4,067 | KKR Real Estate Finance Trust Inc US48251K1007 | 124 | 68.3M $ |
| 4,068 | National CineMedia Inc US6353092066 | 124 | 66.7M $ |
| 4,069 | JSL SA BRJSLGACNOR2 | 124 | 63.6M $ |
| 4,070 | Aclaris Therapeutics Inc US00461U1051 | 124 | 60.2M $ |
| 4,071 | Aura Biosciences Inc US05153U1079 | 124 | 53.3M $ |
| 4,072 | Norwood Financial Corp US6695491075 | 124 | 44.9M $ |
| 4,073 | OP Bancorp US67109R1095 | 124 | 39.5M $ |
| 4,074 | BCB Bancorp Inc US0552981039 | 124 | 29.9M $ |
| 4,075 | Health Catalyst Inc US42225T1079 | 124 | 18.5M $ |
| 4,076 | Vanguard S&P 500 ETF US9229083632 | 123 | 7.3B $ |
| 4,077 | ABB India Ltd INE117A01022 | 123 | 5.4B $ |
| 4,078 | Godrej Properties Ltd INE484J01027 | 123 | 4.6B $ |
| 4,079 | Cia de Minas Buenaventura SAA US2044481040 | 123 | 1.8B $ |
| 4,080 | Furukawa Electric Co Ltd JP3827200001 | 123 | 1.5B $ |
| 4,081 | Tenaga Nasional Bhd MYL5347OO009 | 123 | 1.2B $ |
| 4,082 | Elis SA FR0012435121 | 123 | 772.6M $ |
| 4,083 | Doosan Bobcat Inc KR7241560002 | 123 | 768.7M $ |
| 4,084 | TAL Education Group US8740801043 | 123 | 682M $ |
| 4,085 | Grupo Bimbo SAB de CV MXP495211262 | 123 | 666.4M $ |
| 4,086 | CITIC Securities Co Ltd CNE1000016V2 | 123 | 551.2M $ |
| 4,087 | Turk Hava Yollari AO TRATHYAO91M5 | 123 | 544.9M $ |
| 4,088 | Koito Manufacturing Co Ltd JP3284600008 | 123 | 469.9M $ |
| 4,089 | Nexi SpA IT0005366767 | 123 | 336.1M $ |
| 4,090 | Geron Corp US3741631036 | 123 | 194.3M $ |
| 4,091 | PureCycle Technologies Inc US74623V1035 | 123 | 150.6M $ |
| 4,092 | Tegma Gestao Logistica SA BRTGMAACNOR7 | 123 | 96.6M $ |
| 4,093 | Bit Digital Inc KYG1144A1058 | 123 | 83M $ |
| 4,094 | Proficient Auto Logistics Inc US74317M1045 | 123 | 74.3M $ |
| 4,095 | Aeva Technologies Inc US00835Q2021 | 123 | 71.1M $ |
| 4,096 | Jack in the Box Inc US4663671091 | 123 | 50.7M $ |
| 4,097 | Costamare Bulkers Holdings Ltd MHY2001C1012 | 123 | 47.2M $ |
| 4,098 | ICICI Lombard General Insurance Co Ltd INE765G01017 | 122 | 15.3B $ |
| 4,099 | Electrolux Professional AB SE0013747870 | 122 | 4.2B $ |
| 4,100 | Oracle Financial Services Software Ltd INE881D01027 | 122 | 2B $ |