The most widely held companies
Ranked by how many funds declare a position in the company.
30,697 in total
| Rank | Company | Holders | Value |
|---|---|---|---|
| 4,401 | China Merchants Bank Co Ltd CNE000001B33 | 110 | 776.3M $ |
| 4,402 | Cranswick PLC GB0002318888 | 110 | 660.8M $ |
| 4,403 | KOC Holding AS TRAKCHOL91Q8 | 110 | 599.2M $ |
| 4,404 | MEIJI Holdings Co Ltd JP3918000005 | 110 | 492.6M $ |
| 4,405 | Minth Group Ltd KYG6145U1094 | 110 | 460.5M $ |
| 4,406 | Sankyo Co Ltd JP3326410002 | 110 | 374.2M $ |
| 4,407 | NH Investment & Securities Co Ltd KR7005940002 | 110 | 366.9M $ |
| 4,408 | Asseco Poland SA PLSOFTB00016 | 110 | 314.8M $ |
| 4,409 | China Railway Group Ltd CNE1000007Z2 | 110 | 279.9M $ |
| 4,410 | China Oilfield Services Ltd CNE1000002P4 | 110 | 232.8M $ |
| 4,411 | Via Transportation Inc US92556W1045 | 110 | 142.9M $ |
| 4,412 | Wealthfront Corp US9470021018 | 110 | 118.3M $ |
| 4,413 | First United Corp US33741H1077 | 110 | 48.2M $ |
| 4,414 | National Bankshares Inc US6348651091 | 110 | 34.9M $ |
| 4,415 | Adani Enterprises Ltd INE423A01024 | 109 | 115.1B $ |
| 4,416 | Adani Power Ltd INE814H01029 | 109 | 69.1B $ |
| 4,417 | ICICI Prudential Life Insurance Co Ltd INE726G01019 | 109 | 27.9B $ |
| 4,418 | Cibus Nordic Real Estate AB publ SE0010832204 | 109 | 1.8B $ |
| 4,419 | Hyundai Engineering & Construction Co Ltd KR7000720003 | 109 | 1.1B $ |
| 4,420 | LIG Nex1 Co Ltd KR7079550000 | 109 | 988.6M $ |
| 4,421 | Ramelius Resources Ltd AU000000RMS4 | 109 | 968.9M $ |
| 4,422 | Banco Santander Chile CLP1506A1070 | 109 | 910.8M $ |
| 4,423 | Commercial International Bank - Egypt (CIB) EGS60121C018 | 109 | 745.5M $ |
| 4,424 | Var Energi ASA NO0011202772 | 109 | 710M $ |
| 4,425 | Ping An Insurance Group Co of China Ltd CNE000001R84 | 109 | 703.8M $ |
| 4,426 | Vanguard International Semiconductor Corp TW0005347009 | 109 | 640.7M $ |
| 4,427 | Hotai Motor Co Ltd TW0002207008 | 109 | 595.9M $ |
| 4,428 | Taylor Wimpey PLC GB0008782301 | 109 | 581.1M $ |
| 4,429 | RENK Group AG DE000RENK730 | 109 | 533.5M $ |
| 4,430 | Sugi Holdings Co Ltd JP3397060009 | 109 | 461.1M $ |
| 4,431 | Technology One Ltd AU000000TNE8 | 109 | 452.4M $ |
| 4,432 | SM Prime Holdings Inc PHY8076N1120 | 109 | 450.7M $ |
| 4,433 | Samhallsbyggnadsbolaget i Norden AB SE0009554454 | 109 | 385.9M $ |
| 4,434 | Sumber Alfaria Trijaya Tbk PT ID1000128705 | 109 | 296.7M $ |
| 4,435 | PGE Polska Grupa Energetyczna SA PLPGER000010 | 109 | 271.8M $ |
| 4,436 | Jiangsu Hengli Hydraulic Co Ltd CNE1000019R4 | 109 | 256M $ |
| 4,437 | Proximus SADP BE0003810273 | 109 | 219.9M $ |
| 4,438 | SEACOR Marine Holdings Inc US78413P1012 | 109 | 37.1M $ |
| 4,439 | FVCBankcorp Inc US36120Q1013 | 109 | 35.2M $ |
| 4,440 | LINKBANCORP Inc US53578P1057 | 109 | 28.5M $ |
| 4,441 | Montauk Renewables Inc US61218C1036 | 109 | 13.3M $ |
| 4,442 | PI Industries Ltd INE603J01030 | 108 | 10.7B $ |
| 4,443 | America Movil SAB de CV US02390A1016 | 108 | 1.7B $ |
| 4,444 | AL Sydbank DK0010311471 | 108 | 1.5B $ |
| 4,445 | Vista Energy SAB de CV US92837L1098 | 108 | 1.3B $ |
| 4,446 | Ambea AB SE0009663826 | 108 | 1.3B $ |
| 4,447 | KE Holdings Inc KYG5223Y1089 | 108 | 1.2B $ |
| 4,448 | Zhaojin Mining Industry Co Ltd CNE1000004R6 | 108 | 1.2B $ |
| 4,449 | Peab AB SE0000106205 | 108 | 1.1B $ |
| 4,450 | Jindal Stainless Ltd INE220G01021 | 108 | 851M $ |
| 4,451 | Cloetta AB SE0002626861 | 108 | 762.6M $ |
| 4,452 | SUMCO Corp JP3322930003 | 108 | 702.8M $ |
| 4,453 | J&T Global Express Ltd KYG4990A1040 | 108 | 643.5M $ |
| 4,454 | Hachijuni Nagano Bank Ltd JP3769000005 | 108 | 632M $ |
| 4,455 | Kansai Paint Co Ltd JP3229400001 | 108 | 523.5M $ |
| 4,456 | Cambricon Technologies Corp Ltd CNE1000041R8 | 108 | 508.8M $ |
| 4,457 | OUTsurance Group Ltd ZAE000314084 | 108 | 445M $ |
| 4,458 | Steadfast Group Ltd AU000000SDF8 | 108 | 401.4M $ |
| 4,459 | Reply SpA IT0005282865 | 108 | 389.3M $ |
| 4,460 | FDJ UNITED FR0013451333 | 108 | 374.8M $ |
| 4,461 | JADE BIOSCIENCES INC US0080642061 | 108 | 187.8M $ |
| 4,462 | LB Pharmaceuticals Inc US50180M1080 | 108 | 128.5M $ |
| 4,463 | Lifeway Foods Inc US5319141090 | 108 | 24.4M $ |
| 4,464 | Heron Therapeutics Inc US4277461020 | 108 | 21.9M $ |
| 4,465 | Virco Mfg. Corp US9276511097 | 108 | 16.3M $ |
| 4,466 | Definitive Healthcare Corp US24477E1038 | 108 | 9.5M $ |
| 4,467 | NHPC Ltd INE848E01016 | 107 | 23.6B $ |
| 4,468 | Supreme Industries Ltd INE195A01028 | 107 | 7.7B $ |
| 4,469 | Voltas Ltd INE226A01021 | 107 | 6.1B $ |
| 4,470 | Saudi Arabian Mining Co SA123GA0ITH7 | 107 | 2.3B $ |
| 4,471 | Yes Bank Ltd INE528G01035 | 107 | 2B $ |
| 4,472 | Kokusai Electric Corp JP3293330001 | 107 | 1.7B $ |
| 4,473 | Adnoc Gas PLC AEE01195A234 | 107 | 1.5B $ |
| 4,474 | ALK-Abello A/S DK0061802139 | 107 | 1.4B $ |
| 4,475 | James Hardie Industries PLC AU000000JHX1 | 107 | 1B $ |
| 4,476 | PSP Swiss Property AG CH0018294154 | 107 | 931.9M $ |
| 4,477 | China Steel Corp TW0002002003 | 107 | 862.3M $ |
| 4,478 | JDE Peet's NV NL0014332678 | 107 | 631.7M $ |
| 4,479 | Coca-Cola Femsa SAB de CV MX01KO000002 | 107 | 586.8M $ |
| 4,480 | TELECOM ITALIA SPA IT0003497176 | 107 | 573.5M $ |
| 4,481 | Gentera SAB de CV MX01GE0E0004 | 107 | 549.5M $ |
| 4,482 | mBank SA PLBRE0000012 | 107 | 505.5M $ |
| 4,483 | Cellebrite DI Ltd IL0011794802 | 107 | 505M $ |
| 4,484 | Laopu Gold Co Ltd CNE100006JG0 | 107 | 473.9M $ |
| 4,485 | Industrial Bank Co Ltd CNE000001QZ7 | 107 | 448.7M $ |
| 4,486 | Luxshare Precision Industry Co Ltd CNE100000TP3 | 107 | 430.7M $ |
| 4,487 | Haseko Corp JP3768600003 | 107 | 404.6M $ |
| 4,488 | China Nonferrous Mining Corp Ltd HK0000112026 | 107 | 395.2M $ |
| 4,489 | Kamigumi Co Ltd JP3219000001 | 107 | 381.7M $ |
| 4,490 | KakaoBank Corp KR7323410001 | 107 | 366.9M $ |
| 4,491 | Taiwan High Speed Rail Corp TW0002633005 | 107 | 328M $ |
| 4,492 | Huaneng Power International Inc CNE1000006Z4 | 107 | 312.5M $ |
| 4,493 | Array Digital Infrastructure Inc US9116841084 | 107 | 283.6M $ |
| 4,494 | Spire Global Inc US8485603067 | 107 | 78.3M $ |
| 4,495 | Perspective Therapeutics Inc US46489V3024 | 107 | 60.2M $ |
| 4,496 | Reservoir Media Inc US76119X1054 | 107 | 44.6M $ |
| 4,497 | Ames National Corp US0310011004 | 107 | 39.2M $ |
| 4,498 | Backblaze Inc US05637B1052 | 107 | 28.1M $ |
| 4,499 | LifeMD Inc US53216B1044 | 107 | 26.7M $ |
| 4,500 | Consumer Portfolio Services Inc US2105021008 | 107 | 24.7M $ |