The most widely held companies
Ranked by how many funds declare a position in the company.
30,697 in total
| Rank | Company | Holders | Value |
|---|---|---|---|
| 7,001 | Zhejiang Weiming Environment Protection Co Ltd CNE1000023N5 | 52 | 32.3M $ |
| 7,002 | PostNL NV NL0009739416 | 52 | 31M $ |
| 7,003 | KLN Logistics Group Ltd BMG524181036 | 52 | 23.6M $ |
| 7,004 | OFILM Group Co Ltd CNE100000S33 | 52 | 20.7M $ |
| 7,005 | Automob Participacoes SA BRAMOBACNOR9 | 52 | 6.2M $ |
| 7,006 | US Goldmining, Inc. US90291W1080 | 52 | 3.1M $ |
| 7,007 | Livewire Group Inc US53838J1051 | 52 | 3M $ |
| 7,008 | Kalpataru Projects International Ltd INE220B01022 | 51 | 20.2B $ |
| 7,009 | Kajaria Ceramics Ltd INE217B01036 | 51 | 12.9B $ |
| 7,010 | Indian Energy Exchange Ltd INE022Q01020 | 51 | 4B $ |
| 7,011 | Brigade Enterprises Ltd INE791I01019 | 51 | 3.8B $ |
| 7,012 | Bank of Maharashtra INE457A01014 | 51 | 730.1M $ |
| 7,013 | Cellavision AB SE0000683484 | 51 | 639.1M $ |
| 7,014 | Avarda Bank AB SE0025666969 | 51 | 550.2M $ |
| 7,015 | Avanti Feeds Ltd INE871C01038 | 51 | 477.1M $ |
| 7,016 | APPLE DRN BRAAPLBDR004 | 51 | 431.1M $ |
| 7,017 | Vanguard Scottsdale Funds US92206C8477 | 51 | 405.6M $ |
| 7,018 | Proact IT Group AB SE0015961222 | 51 | 378.8M $ |
| 7,019 | Inter & Co Inc KYG4R20B1074 | 51 | 374.8M $ |
| 7,020 | Genmab A/S US3723032062 | 51 | 320.9M $ |
| 7,021 | Revenio Group Oyj FI0009010912 | 51 | 298.6M $ |
| 7,022 | Hindustan Copper Ltd INE531E01026 | 51 | 272.6M $ |
| 7,023 | Universal Robina Corp PHY9297P1004 | 51 | 242.4M $ |
| 7,024 | ZTO Express Cayman Inc US98980A1051 | 51 | 229.7M $ |
| 7,025 | Canadian Apartment Properties REIT CA1349211054 | 51 | 221.8M $ |
| 7,026 | Sapporo Holdings Ltd JP3320800000 | 51 | 216.1M $ |
| 7,027 | Hanza AB SE0005878543 | 51 | 199.8M $ |
| 7,028 | Taichung Commercial Bank Co Ltd TW0002812005 | 51 | 199.8M $ |
| 7,029 | Exide Industries Ltd INE302A01020 | 51 | 183.8M $ |
| 7,030 | Turk Telekomunikasyon AS TRETTLK00013 | 51 | 173.4M $ |
| 7,031 | Gamma Communications PLC GB00BQS10J50 | 51 | 170.1M $ |
| 7,032 | COSCO SHIPPING Energy Transportation Co Ltd CNE1000002S8 | 51 | 167.3M $ |
| 7,033 | Inner Mongolia Yitai Coal Co Ltd CNE000000SK7 | 51 | 155.2M $ |
| 7,034 | Castrol India Ltd INE172A01027 | 51 | 154.7M $ |
| 7,035 | Anji Microelectronics Technology Shanghai Co Ltd CNE100003ML1 | 51 | 152.6M $ |
| 7,036 | Foxconn Technology Co Ltd TW0002354008 | 51 | 139.3M $ |
| 7,037 | Enka Insaat ve Sanayi AS TREENKA00011 | 51 | 125M $ |
| 7,038 | Hyosung Corp KR7004800009 | 51 | 124.5M $ |
| 7,039 | Sime Darby Property Bhd MYL5288OO005 | 51 | 122M $ |
| 7,040 | Parade Technologies Ltd KYG6892A1085 | 51 | 119.7M $ |
| 7,041 | Comforia Residential REIT Inc JP3047540004 | 51 | 118.7M $ |
| 7,042 | Sienna Senior Living Inc CA82621K1021 | 51 | 117.6M $ |
| 7,043 | IJM Corp Bhd MYL3336OO004 | 51 | 116.8M $ |
| 7,044 | Kornit Digital Ltd IL0011216723 | 51 | 116M $ |
| 7,045 | COSCO SHIPPING Ports Ltd BMG2442N1048 | 51 | 115.4M $ |
| 7,046 | Hgtech Co Ltd CNE000001303 | 51 | 107.1M $ |
| 7,047 | Korean Reinsurance Co KR7003690005 | 51 | 106.6M $ |
| 7,048 | SKC Co Ltd KR7011790003 | 51 | 97.5M $ |
| 7,049 | Yoshinoya Holdings Co Ltd JP3958000006 | 51 | 95.9M $ |
| 7,050 | Birlasoft Ltd INE836A01035 | 51 | 94.8M $ |
| 7,051 | Ishihara Sangyo Kaisha Ltd JP3136800004 | 51 | 88.4M $ |
| 7,052 | Pearl Abyss Corp KR7263750002 | 51 | 87.3M $ |
| 7,053 | Judo Capital Holdings Ltd AU0000182271 | 51 | 84.8M $ |
| 7,054 | ICADE FR0000035081 | 51 | 84.5M $ |
| 7,055 | Hokuriku Electric Power Co JP3845400005 | 51 | 72.7M $ |
| 7,056 | FUCHS SE DE000A3E5D56 | 51 | 72.6M $ |
| 7,057 | Vale Indonesia Tbk PT ID1000109309 | 51 | 69.6M $ |
| 7,058 | Savola Group/The SA0007879162 | 51 | 69.3M $ |
| 7,059 | OC Oerlikon Corp AG Pfaeffikon CH0000816824 | 51 | 67.7M $ |
| 7,060 | Sharetronic Data Technology Co Ltd CNE100004173 | 51 | 65.5M $ |
| 7,061 | One Software Technologies Ltd IL0001610182 | 51 | 64.3M $ |
| 7,062 | Itoki Corp JP3142700008 | 51 | 63.5M $ |
| 7,063 | Global One Real Estate Investment Corp JP3044520009 | 51 | 62.5M $ |
| 7,064 | Dermapharm Holding SE DE000A2GS5D8 | 51 | 60.3M $ |
| 7,065 | Spire Healthcare Group PLC GB00BNLPYF73 | 51 | 58.5M $ |
| 7,066 | Nomura Micro Science Co Ltd JP3762950008 | 51 | 57.1M $ |
| 7,067 | Is Yatirim Menkul Degerler AS TREISMD00011 | 51 | 54.3M $ |
| 7,068 | Dicker Data Ltd AU000000DDR5 | 51 | 48.3M $ |
| 7,069 | CITIC Telecom International Holdings Ltd HK1883037637 | 51 | 47.5M $ |
| 7,070 | LAMDA Development SA GRS245213004 | 51 | 47M $ |
| 7,071 | Everbright Securities Co Ltd CNE100000FD8 | 51 | 46.3M $ |
| 7,072 | China Life Insurance Co Ltd CNE000001Q93 | 51 | 44.4M $ |
| 7,073 | Joyful Honda Co Ltd JP3392920009 | 51 | 44.2M $ |
| 7,074 | Air New Zealand Ltd NZAIRE0001S2 | 51 | 43.4M $ |
| 7,075 | Tianshui Huatian Technology Co Ltd CNE100000825 | 51 | 42.5M $ |
| 7,076 | Kaufman & Broad SA FR0004007813 | 51 | 42.4M $ |
| 7,077 | UT Group Co Ltd JP3949500007 | 51 | 41.3M $ |
| 7,078 | Dongxing Securities Co Ltd CNE100002177 | 51 | 39M $ |
| 7,079 | Kinepolis Group NV BE0974274061 | 51 | 38.9M $ |
| 7,080 | MARR SpA IT0003428445 | 51 | 38.2M $ |
| 7,081 | Vitasoy International Holdings Ltd HK0345001611 | 51 | 37.6M $ |
| 7,082 | POLYUS PAO RU000A0JNAA8 | 51 | 36.1M $ |
| 7,083 | Showa Sangyo Co Ltd JP3366400004 | 51 | 35.1M $ |
| 7,084 | Shandong Sun Paper Industry JSC Ltd CNE000001P52 | 51 | 34.6M $ |
| 7,085 | Fuji Co Ltd/Ehime JP3807400001 | 51 | 32.8M $ |
| 7,086 | Beijing Enlight Media Co Ltd CNE100001617 | 51 | 32M $ |
| 7,087 | Cybozu Inc JP3312100005 | 51 | 29.7M $ |
| 7,088 | Kingnet Network Co Ltd CNE100000XB5 | 51 | 25.8M $ |
| 7,089 | Riken Vitamin Co Ltd JP3972600005 | 51 | 25.5M $ |
| 7,090 | Trisul SA BRTRISACNOR4 | 51 | 9.7M $ |
| 7,091 | Mercer International Inc US5880561015 | 51 | 7.8M $ |
| 7,092 | SWK Holdings Corp. US78501P2039 | 51 | 5.8M $ |
| 7,093 | Cholamandalam Financial Holdings Ltd INE149A01033 | 50 | 12.4B $ |
| 7,094 | Sun TV Network Ltd INE424H01027 | 50 | 2.1B $ |
| 7,095 | Invesco QQQ Trust Series 1 US46090E1038 | 50 | 1.9B $ |
| 7,096 | Discovery Silver Corp CA2546771072 | 50 | 1.1B $ |
| 7,097 | HSBC Holdings PLC US4042804066 | 50 | 1B $ |
| 7,098 | Taiwan Union Technology Corp TW0006274004 | 50 | 662.6M $ |
| 7,099 | Cenergy Holdings SA BE0974303357 | 50 | 523.3M $ |
| 7,100 | Bangkok Bank PCL TH0001010014 | 50 | 510.6M $ |