The most widely held companies
Ranked by how many funds declare a position in the company.
30,697 in total
| Rank | Company | Holders | Value |
|---|---|---|---|
| 7,201 | ITC Hotels Ltd INE379A01028 | 49 | 204.5M $ |
| 7,202 | Dongyue Group Ltd KYG2816P1072 | 49 | 201.5M $ |
| 7,203 | Youngone Holdings Co Ltd KR7009970005 | 49 | 194.4M $ |
| 7,204 | Kaori Heat Treatment Co Ltd TW0008996000 | 49 | 194.2M $ |
| 7,205 | Sibanye Stillwater Ltd US82575P1075 | 49 | 192.3M $ |
| 7,206 | Birchcliff Energy Ltd CA0906971035 | 49 | 177.2M $ |
| 7,207 | Hanwha Engine KR7082740002 | 49 | 172.7M $ |
| 7,208 | Ichigo Inc JP3120010008 | 49 | 169.2M $ |
| 7,209 | Paramount Resources Ltd CA6993202069 | 49 | 149.9M $ |
| 7,210 | Bytes Technology Group PLC GB00BMH18Q19 | 49 | 141M $ |
| 7,211 | Bank of Nagoya Ltd/The JP3648800005 | 49 | 137.6M $ |
| 7,212 | Mizuho Leasing Co Ltd JP3286500008 | 49 | 135.7M $ |
| 7,213 | Life Healthcare Group Holdings Ltd ZAE000145892 | 49 | 129.5M $ |
| 7,214 | Daqo New Energy Corp US23703Q2030 | 49 | 125.8M $ |
| 7,215 | Finolex Cables Ltd INE235A01022 | 49 | 125.4M $ |
| 7,216 | Park Systems Corp KR7140860008 | 49 | 123.4M $ |
| 7,217 | Qingdao Port International Co Ltd CNE100001SG2 | 49 | 116.6M $ |
| 7,218 | BOBS DISCOUNT FURNITURE INC US09681N1063 | 49 | 109.8M $ |
| 7,219 | Ingenia Communities Group AU000000INA9 | 49 | 109.5M $ |
| 7,220 | Region Group AU0000253502 | 49 | 107.9M $ |
| 7,221 | IDP Education Ltd AU000000IEL5 | 49 | 105.7M $ |
| 7,222 | PharmaResearch Co Ltd KR7214450009 | 49 | 104.5M $ |
| 7,223 | CMB Tech NV BE0003816338 | 49 | 99.2M $ |
| 7,224 | Turkiye Sise ve Cam Fabrikalari AS TRASISEW91Q3 | 49 | 99.1M $ |
| 7,225 | Hwatsing Technology Co Ltd CNE100005QL7 | 49 | 99.1M $ |
| 7,226 | Far Eastern International Bank TW0002845005 | 49 | 98.8M $ |
| 7,227 | Han Kuk Carbon Co Ltd KR7017960006 | 49 | 97.9M $ |
| 7,228 | Sanoma Oyj FI0009007694 | 49 | 93.2M $ |
| 7,229 | Japan Securities Finance Co Ltd JP3714400003 | 49 | 91.2M $ |
| 7,230 | Omnia Holdings Ltd ZAE000005153 | 49 | 90.5M $ |
| 7,231 | Yunnan Energy New Material Group Co Ltd CNE100002BR3 | 49 | 89.5M $ |
| 7,232 | FCC Co Ltd JP3166900005 | 49 | 87.6M $ |
| 7,233 | Everlight Electronics Co Ltd TW0002393006 | 49 | 86.5M $ |
| 7,234 | Senshu Electric Co Ltd JP3424400004 | 49 | 86.4M $ |
| 7,235 | Furukawa Co Ltd JP3826800009 | 49 | 85.6M $ |
| 7,236 | Suzhou Maxwell Technologies Co Ltd CNE100003FS0 | 49 | 83.4M $ |
| 7,237 | Strides Pharma Science Ltd INE939A01011 | 49 | 78.9M $ |
| 7,238 | Sanken Electric Co Ltd JP3329600005 | 49 | 77.3M $ |
| 7,239 | EVT Ltd AU000000EVT1 | 49 | 75.2M $ |
| 7,240 | Yankuang Energy Group Co Ltd CNE000000WV6 | 49 | 73.5M $ |
| 7,241 | Alexander & Baldwin Inc US0144911049 | 49 | 71.4M $ |
| 7,242 | NICE Information Service Co Ltd KR7030190003 | 49 | 71.4M $ |
| 7,243 | Svenska Handelsbanken AB SE0007100607 | 49 | 70.3M $ |
| 7,244 | Moonpig Group PLC GB00BMT9K014 | 49 | 68.1M $ |
| 7,245 | SIA Engineering Co Ltd SG1I53882771 | 49 | 65.5M $ |
| 7,246 | Swire Pacific Ltd HK0087000532 | 49 | 64.7M $ |
| 7,247 | Regis Healthcare Ltd AU000000REG6 | 49 | 63.3M $ |
| 7,248 | S Foods Inc JP3399300007 | 49 | 60.8M $ |
| 7,249 | Data#3 Ltd AU000000DTL4 | 49 | 59.7M $ |
| 7,250 | Gujarat Pipavav Port Ltd INE517F01014 | 49 | 59.6M $ |
| 7,251 | Olam Group Ltd SGXE65760014 | 49 | 59.4M $ |
| 7,252 | Dogan Sirketler Grubu Holding AS TRADOHOL91Q8 | 49 | 57.5M $ |
| 7,253 | ITE Technology Inc TW0003014007 | 49 | 56.2M $ |
| 7,254 | d'Amico International Shipping SA LU2592315662 | 49 | 53.8M $ |
| 7,255 | Kyokuto Kaihatsu Kogyo Co Ltd JP3256900006 | 49 | 53.8M $ |
| 7,256 | Raiznext Corp JP3331600001 | 49 | 53.4M $ |
| 7,257 | Elang Mahkota Teknologi Tbk PT ID1000113905 | 49 | 50.6M $ |
| 7,258 | Turkiye Sigorta AS TRAGUSGR91O3 | 49 | 50.3M $ |
| 7,259 | Shenzhen Kinwong Electronic Co Ltd CNE100002FZ7 | 49 | 41.4M $ |
| 7,260 | Anadolu Anonim Turk Sigorta Sirketi TRAANSGR91O1 | 49 | 37.6M $ |
| 7,261 | Altri SGPS SA PTALT0AE0002 | 49 | 37.1M $ |
| 7,262 | Moscow Exchange MICEX-RTS PJSC RU000A0JR4A1 | 49 | 33.7M $ |
| 7,263 | Elior Group SA FR0011950732 | 49 | 33.4M $ |
| 7,264 | Megaworld Corp PHY594811127 | 49 | 28.8M $ |
| 7,265 | Beijing Roborock Technology Co Ltd CNE100003R80 | 49 | 28.6M $ |
| 7,266 | C4 Therapeutics Inc US12529R1077 | 49 | 28.3M $ |
| 7,267 | MFE-MediaForEurope NV NL0015001OJ9 | 49 | 27.3M $ |
| 7,268 | Shibuya Corp JP3356000004 | 49 | 26.7M $ |
| 7,269 | Jiangsu Hoperun Software Co Ltd CNE100001JT4 | 49 | 26.4M $ |
| 7,270 | Change Holdings Inc JP3507750002 | 49 | 12.6M $ |
| 7,271 | Ramaco Resources Inc US75134P5017 | 49 | 12.2M $ |
| 7,272 | XCF Global Inc US98400U1034 | 49 | 1.2M $ |
| 7,273 | Trinseo PLC IE0000QBK8U7 | 49 | 832.4K $ |
| 7,274 | NMC Health PLC GB00B7FC0762 | 49 | 13.9K $ |
| 7,275 | AMERICAN MUTUAL FUND (AMF) US0276818160 | 48 | 29B $ |
| 7,276 | Grindwell Norton Ltd INE536A01023 | 48 | 21.4B $ |
| 7,277 | EID Parry India Ltd INE126A01031 | 48 | 9.5B $ |
| 7,278 | PRUDENTIAL INVESTMENT PORTFOLIOS 9 US74440E3009 | 48 | 6.8B $ |
| 7,279 | ACC Ltd INE012A01025 | 48 | 4.4B $ |
| 7,280 | Firstsource Solutions Ltd INE684F01012 | 48 | 4.1B $ |
| 7,281 | Whirlpool of India Ltd INE716A01013 | 48 | 3.6B $ |
| 7,282 | iShares Trust US4642885135 | 48 | 1.9B $ |
| 7,283 | iShares Core S&P Mid-Cap ETF US4642875078 | 48 | 1.1B $ |
| 7,284 | Confluent Inc US20717M1036 | 48 | 659.3M $ |
| 7,285 | iShares J.P. Morgan USD Emerging Markets Bond ETF US4642882819 | 48 | 655.3M $ |
| 7,286 | Rejlers AB SE0000123671 | 48 | 561.3M $ |
| 7,287 | DiDi Global Inc US23292E1082 | 48 | 478.3M $ |
| 7,288 | Capital Power Corp CA14042M1023 | 48 | 464M $ |
| 7,289 | DiscoverIE Group PLC GB0000055888 | 48 | 435.8M $ |
| 7,290 | Commercial International Bank - Egypt (CIB) US2017122050 | 48 | 422.9M $ |
| 7,291 | Deep Yellow Ltd AU000000DYL4 | 48 | 329.5M $ |
| 7,292 | ADATA Technology Co Ltd TW0003260006 | 48 | 299.7M $ |
| 7,293 | Kirloskar Oil Engines Ltd INE146L01010 | 48 | 286.6M $ |
| 7,294 | Ipca Laboratories Ltd INE571A01038 | 48 | 283.7M $ |
| 7,295 | Bonava AB SE0008091581 | 48 | 265.5M $ |
| 7,296 | Ardentec Corp TW0003264008 | 48 | 248.4M $ |
| 7,297 | Vodafone Group PLC US92857W3088 | 48 | 244.1M $ |
| 7,298 | JinkoSolar Holding Co Ltd US47759T1007 | 48 | 215.5M $ |
| 7,299 | Kfin Technologies Ltd INE138Y01010 | 48 | 202M $ |
| 7,300 | OCI Holdings Co Ltd KR7010060002 | 48 | 200.9M $ |