Companies
Ranked by what the funds in this base hold of them, converted at European Central Bank rates, on the date of each filing.
28,459 in total
| Rank | Company | Holders | Value |
|---|---|---|---|
| 6,601 | Kasumigaseki Capital Co Ltd JP3211050004 | 41 | 126.6M $ |
| 6,602 | Telekom Austria AG AT0000720008 | 77 | 127.8M $ |
| 6,603 | Beta Bionics Inc US08659B1026 | 130 | 126.4M $ |
| 6,604 | Marcus Corp/The US5663301068 | 162 | 127.2M $ |
| 6,605 | PIMCO FUNDS US72201R5937 | 3 | 126.5M $ |
| 6,606 | Interroll Holding AG CH0006372897 | 64 | 127.6M $ |
| 6,607 | Doms Industries Ltd INE321T01012 | 29 | 125.9M $ |
| 6,608 | KYB Corp JP3220200004 | 60 | 127.9M $ |
| 6,609 | Gujarat Gas Ltd INE844O01030 | 37 | 126.3M $ |
| 6,610 | Karoon Energy Ltd AU000000KAR6 | 53 | 127.8M $ |
| 6,611 | Zip Co Ltd AU0000218307 | 44 | 127.5M $ |
| 6,612 | Al Masane Al Kobra Mining Co SA15HG50KL10 | 33 | 127.8M $ |
| 6,613 | First Business Financial Services Inc US3193901002 | 177 | 127.1M $ |
| 6,614 | EDION Corp JP3164470001 | 64 | 127.5M $ |
| 6,615 | OKUMA Corp JP3172100004 | 65 | 127.3M $ |
| 6,616 | Arhaus Inc US04035M1027 | 165 | 126.8M $ |
| 6,617 | State Street Spdr Dow Jones Industrial Average Etf Trust US78467X1090 | 6 | 128.5M $ |
| 6,618 | Zhongsheng Group Holdings Ltd KYG9894K1085 | 83 | 127.7M $ |
| 6,619 | Lintec Corp JP3977200009 | 77 | 126.9M $ |
| 6,620 | Doosan Robotics Inc KR7454910001 | 24 | 127.6M $ |
| 6,621 | Syntec Technology Co Ltd TW0007750002 | 13 | 127.3M $ |
| 6,622 | Privi Speciality Chemicals Ltd INE959A01019 | 24 | 124.9M $ |
| 6,623 | Mercialys SA FR0010241638 | 65 | 126.6M $ |
| 6,624 | Schwab Strategic Trust US8085247976 | 14 | 125.6M $ |
| 6,625 | Foxconn Technology Co Ltd TW0002354008 | 51 | 127M $ |
| 6,626 | Brigade Enterprises Ltd INE791I01019 | 51 | 126.2M $ |
| 6,627 | Fukuda Denshi Co Ltd JP3806000000 | 53 | 126.1M $ |
| 6,628 | RHI Magnesita NV NL0012650360 | 53 | 126.8M $ |
| 6,629 | Corp ACCIONA Energias Renovables SA ES0105563003 | 105 | 126.6M $ |
| 6,630 | Amundi Funds US Pioneer Fund -I15 USD CAP LU2428739630 | 1 | 124.3M $ |
| 6,631 | AB VPS Relative Value Portfolio Class A US0187921012 | 4 | 124.3M $ |
| 6,632 | Aica Kogyo Co Ltd JP3100800006 | 77 | 126.1M $ |
| 6,633 | China Merchants Securities Co Ltd CNE100000HK9 | 82 | 126.5M $ |
| 6,634 | BlackBuck Ltd INE0UIZ01018 | 26 | 124.9M $ |
| 6,635 | KPJ Healthcare Bhd MYL5878OO003 | 50 | 126.3M $ |
| 6,636 | Japan Material Co Ltd JP3389680004 | 64 | 126M $ |
| 6,637 | Hanwha Vision Co Ltd KR7489790006 | 44 | 126.2M $ |
| 6,638 | U.S. Strategic Equity Fund US78250K6111 | 3 | 126.3M $ |
| 6,639 | Poongsan Corp KR7103140000 | 50 | 126M $ |
| 6,640 | Country Garden Services Holdings Co Ltd KYG2453A1085 | 54 | 126.1M $ |
| 6,641 | APT Medical Inc CNE100004C45 | 46 | 126.4M $ |
| 6,642 | Daily Journal Corp US2339121046 | 153 | 125.1M $ |
| 6,643 | Capital Securities Corp TW0006005002 | 52 | 125.8M $ |
| 6,644 | Mobile Telecommunications Co Saudi Arabia SA121053DR18 | 60 | 125.8M $ |
| 6,645 | IOI Properties Group Bhd MYL5249OO007 | 47 | 125.6M $ |
| 6,646 | Strive Inc US8629453007 | 100 | 124M $ |
| 6,647 | Lingbao Gold Group Co Ltd CNE1000001H3 | 41 | 125.6M $ |
| 6,648 | Eurocommercial Properties NV NL0015000K93 | 64 | 125.3M $ |
| 6,649 | Red Violet Inc US75704L1044 | 173 | 124.7M $ |
| 6,650 | Daqo New Energy Corp US23703Q2030 | 49 | 125.7M $ |
| 6,651 | Stolt-Nielsen Ltd BMG850801025 | 70 | 125.3M $ |
| 6,652 | Hyosung Corp KR7004800009 | 51 | 124.5M $ |
| 6,653 | Greentown China Holdings Ltd KYG4100M1050 | 58 | 125.5M $ |
| 6,654 | Navigator Holdings Ltd MHY621321089 | 111 | 124.5M $ |
| 6,655 | Shenghe Resources Holding Co Ltd CNE000001DZ5 | 25 | 123.4M $ |
| 6,656 | Enka Insaat ve Sanayi AS TREENKA00011 | 51 | 125M $ |
| 6,657 | GlaxoSmithKline Pharmaceuticals Ltd INE159A01016 | 55 | 124.3M $ |
| 6,658 | SMA Solar Technology AG DE000A0DJ6J9 | 65 | 125M $ |
| 6,659 | FLEX LNG Ltd BMG359472021 | 118 | 124.2M $ |
| 6,660 | China Three Gorges Renewables Group Co Ltd CNE1000051F2 | 73 | 124.9M $ |
| 6,661 | Jungfraubahn Holding AG CH0017875789 | 41 | 124.5M $ |
| 6,662 | Sumitomo Warehouse Co Ltd/The JP3407000003 | 48 | 124.6M $ |
| 6,663 | Poya International Co Ltd TW0005904007 | 54 | 124.5M $ |
| 6,664 | Dynapack International Technology Corp TW0003211009 | 37 | 125M $ |
| 6,665 | Totech Corp JP3595300009 | 57 | 124.4M $ |
| 6,666 | Global X 1-3 Month T-Bill ETF US37960A4388 | 5 | 122.8M $ |
| 6,667 | Dimensional U S Small Cap ETF US25434V5003 | 5 | 125.7M $ |
| 6,668 | Etoro Group Ltd VGG320891077 | 60 | 123.4M $ |
| 6,669 | Foschini Group Ltd ZAE000148466 | 47 | 124.8M $ |
| 6,670 | Dialog Group Bhd MYL7277OO006 | 47 | 124.6M $ |
| 6,671 | Simcere Pharmaceutical Group Ltd HK0000658531 | 43 | 124.8M $ |
| 6,672 | Hornbach Holding AG & Co KGaA DE0006083405 | 68 | 124.5M $ |
| 6,673 | Musashi Seimitsu Industry Co Ltd JP3912700006 | 65 | 124.5M $ |
| 6,674 | FPT Corp VN000000FPT1 | 28 | 123.3M $ |
| 6,675 | BRIGHTHOUSE FDS TR II US10923P6280 | 6 | 122.3M $ |
| 6,676 | IONOS Group SE DE000A3E00M1 | 56 | 124M $ |
| 6,677 | Meitav Investment House Ltd IL0010818438 | 45 | 123.7M $ |
| 6,678 | Zumiez Inc US9898171015 | 195 | 123.8M $ |
| 6,679 | Invesco Galaxy Bitcoin ETF US46137V2410 | 30 | 123.2M $ |
| 6,680 | Encore Energy Corp CA29259W7008 | 105 | 122.7M $ |
| 6,681 | Nanto Bank Ltd/The JP3653400006 | 59 | 123.8M $ |
| 6,682 | AngioDynamics Inc US03475V1017 | 165 | 122.7M $ |
| 6,683 | REGENXBIO Inc US75901B1070 | 180 | 122.6M $ |
| 6,684 | Tsugami Corp JP3531800005 | 62 | 123.8M $ |
| 6,685 | Vnet Group Inc US90138A1034 | 50 | 123.9M $ |
| 6,686 | Borregaard ASA NO0010657505 | 66 | 122.4M $ |
| 6,687 | Lens Technology Co Ltd CNE100001YW7 | 73 | 123.7M $ |
| 6,688 | Emerging Markets Fund US7824944398 | 9 | 123.1M $ |
| 6,689 | COLUMBIA EMERGING MARKETS FUND US19766M8249 | 5 | 123.4M $ |
| 6,690 | Merger Fund US5895092071 | 3 | 121.3M $ |
| 6,691 | Round One Corp JP3966800009 | 70 | 123M $ |
| 6,692 | Carl Zeiss Meditec AG DE0005313704 | 84 | 123.2M $ |
| 6,693 | Invesco Comstock Contrarian Equity ETF US46127B2051 | 1 | 123.3M $ |
| 6,694 | Suntec Real Estate Investment Trust SG1Q52922370 | 41 | 122.8M $ |
| 6,695 | Indah Kiat Pulp & Paper Tbk PT ID1000062201 | 55 | 123.5M $ |
| 6,696 | PHI Group Inc/DE US69360B1044 | 4 | 121.2M $ |
| 6,697 | China United Network Communications Ltd CNE000001CS2 | 64 | 123.2M $ |
| 6,698 | Oil Refineries Ltd IL0025902482 | 59 | 123.2M $ |
| 6,699 | AEON Financial Service Co Ltd JP3131400008 | 52 | 123.1M $ |
| 6,700 | Vukile Property Fund Ltd ZAE000180865 | 30 | 123.3M $ |