The most widely held companies
Ranked by how many funds declare a position in the company.
30,697 in total
| Rank | Company | Holders | Value |
|---|---|---|---|
| 8,201 | Korea Electric Terminal Co Ltd KR7025540006 | 40 | 22.6M $ |
| 8,202 | Cawachi Ltd JP3226450009 | 40 | 22.4M $ |
| 8,203 | Secunet Security Networks AG DE0007276503 | 40 | 20.8M $ |
| 8,204 | FULLCAST Holdings Co Ltd JP3827800008 | 40 | 20.3M $ |
| 8,205 | GWA Group Ltd AU000000GWA4 | 40 | 19.3M $ |
| 8,206 | DHI Group Inc US23331S1006 | 40 | 19.2M $ |
| 8,207 | 1stdibs.com Inc US3205511047 | 40 | 15.8M $ |
| 8,208 | Xebio Holdings Co Ltd JP3428800001 | 40 | 15.1M $ |
| 8,209 | Comtech Telecommunications Corp US2058262096 | 40 | 15.1M $ |
| 8,210 | SD Biosensor Inc KR7137310009 | 40 | 15M $ |
| 8,211 | Gakken Holdings Co Ltd JP3234200008 | 40 | 12.4M $ |
| 8,212 | Sportsman's Warehouse Holdings Inc US84920Y1064 | 40 | 8.6M $ |
| 8,213 | Pihlajalinna Oyj FI4000092556 | 40 | 5.7M $ |
| 8,214 | PHOSAGRO PJSC US71922G4073 | 40 | 45.3K $ |
| 8,215 | CAPITAL WORLD GROWTH & INCOME FUND US1405438102 | 39 | 34.8B $ |
| 8,216 | AMERICAN BALANCED FUND (AMBAL) US0240718132 | 39 | 34B $ |
| 8,217 | WASHINGTON MUTUAL INVESTORS FUND (WMIF) US9393308179 | 39 | 30.6B $ |
| 8,218 | Nuvoco Vistas Corp Ltd INE118D01016 | 39 | 8B $ |
| 8,219 | Chalet Hotels Ltd INE427F01016 | 39 | 7.4B $ |
| 8,220 | Mahindra Lifespace Developers Ltd INE813A01018 | 39 | 5.5B $ |
| 8,221 | CCL Products India Ltd INE421D01022 | 39 | 3.6B $ |
| 8,222 | Capital Group Central Cash Fund US14020B1026 | 39 | 3B $ |
| 8,223 | Minda Corp Ltd INE842C01021 | 39 | 1.2B $ |
| 8,224 | Global Health Ltd/India INE474Q01031 | 39 | 999.2M $ |
| 8,225 | Sociedad Quimica y Minera de Chile S.A. CLP8716X1082 | 39 | 710.6M $ |
| 8,226 | iShares MSCI Canada ETF US4642865095 | 39 | 638.6M $ |
| 8,227 | Vizsla Silver Corp CA92859G6085 | 39 | 344.6M $ |
| 8,228 | Bank Syariah Indonesia Tbk PT ID1000142904 | 39 | 330.6M $ |
| 8,229 | XPeng Inc US98422D1054 | 39 | 240.9M $ |
| 8,230 | Banco Santander Chile US05965X1090 | 39 | 240.8M $ |
| 8,231 | Himadri Speciality Chemical Ltd INE019C01026 | 39 | 236M $ |
| 8,232 | Money Forward Inc JP3869960009 | 39 | 176.2M $ |
| 8,233 | Comet Holding AG CH0360826991 | 39 | 172.5M $ |
| 8,234 | Shanghai Conant Optical Co Ltd CNE100004Z14 | 39 | 165.7M $ |
| 8,235 | Grupo Financiero Galicia SA US3999091008 | 39 | 161.1M $ |
| 8,236 | Affle 3i Ltd INE00WC01027 | 39 | 150.6M $ |
| 8,237 | HONGFA TECHNOLOGY CO LTD CNE000000JK6 | 39 | 142.9M $ |
| 8,238 | Daeduck Electronics Co Ltd / New KR7353200009 | 39 | 137.8M $ |
| 8,239 | ITEQ Corp TW0006213002 | 39 | 130.7M $ |
| 8,240 | Adani Total Gas Ltd INE399L01023 | 39 | 121.4M $ |
| 8,241 | Thai Oil PCL TH0796010013 | 39 | 120.4M $ |
| 8,242 | Cementos Argos SA COD38PA00046 | 39 | 113.8M $ |
| 8,243 | China Tourism Group Duty Free Corp Ltd CNE100004YZ4 | 39 | 111.6M $ |
| 8,244 | JM Financial Ltd INE780C01023 | 39 | 110.8M $ |
| 8,245 | Frontken Corp Bhd MYQ0128OO007 | 39 | 99.1M $ |
| 8,246 | Tong Hsing Electronic Industries Ltd TW0006271000 | 39 | 96.5M $ |
| 8,247 | Han's Laser Technology Industry Group Co Ltd CNE000001JQ1 | 39 | 95.9M $ |
| 8,248 | Bright Smart Securities & Commodities Group Ltd KYG1644A1004 | 39 | 95.5M $ |
| 8,249 | Stillfront Group AB SE0015346135 | 39 | 95.2M $ |
| 8,250 | CALB Group Co Ltd CNE100005LL8 | 39 | 93.3M $ |
| 8,251 | Shin Zu Shing Co Ltd TW0003376000 | 39 | 85M $ |
| 8,252 | Charoen Pokphand Enterprise TW0001215002 | 39 | 82.1M $ |
| 8,253 | Hangzhou Tigermed Consulting Co Ltd CNE1000040M1 | 39 | 81.1M $ |
| 8,254 | UMS Integration Ltd SG1J94892465 | 39 | 79.1M $ |
| 8,255 | AcBel Polytech Inc TW0006282007 | 39 | 74.8M $ |
| 8,256 | Tuas Ltd AU0000089724 | 39 | 74.4M $ |
| 8,257 | Global Brands Manufacture Ltd TW0006191000 | 39 | 74.3M $ |
| 8,258 | Orient Semiconductor Electronics Ltd TW0002329000 | 39 | 72.2M $ |
| 8,259 | SF Holding Co Ltd CNE100006NF4 | 39 | 70.9M $ |
| 8,260 | Saudi Kayan Petrochemical Co SA000A0MQCJ2 | 39 | 70.9M $ |
| 8,261 | Parkin Co PJSC AEE01370P249 | 39 | 68.2M $ |
| 8,262 | Serica Energy PLC GB00B0CY5V57 | 39 | 66.9M $ |
| 8,263 | China Datang Corp Renewable Power Co Ltd CNE100000X69 | 39 | 66.3M $ |
| 8,264 | Union Bank Of Taiwan TW0002838000 | 39 | 66.3M $ |
| 8,265 | oOh!media Ltd AU000000OML6 | 39 | 61.6M $ |
| 8,266 | Acomo NV NL0000313286 | 39 | 60.7M $ |
| 8,267 | TR Anadolu Metal Madencilik Isletmeleri AS TREKOZA00014 | 39 | 60.3M $ |
| 8,268 | Weibo Corp KYG9515T1085 | 39 | 59.5M $ |
| 8,269 | Coronation Fund Managers Ltd ZAE000047353 | 39 | 59M $ |
| 8,270 | Chervon Holdings Ltd HK0000811882 | 39 | 59M $ |
| 8,271 | Tokai Carbon Korea Co Ltd KR7064760002 | 39 | 58.7M $ |
| 8,272 | SJVN Ltd INE002L01015 | 39 | 57.2M $ |
| 8,273 | Forterra PLC GB00BYYW3C20 | 39 | 57M $ |
| 8,274 | Systex Corp TW0006214000 | 39 | 56.6M $ |
| 8,275 | Thinking Electronic Industrial Co Ltd TW0002428000 | 39 | 56.5M $ |
| 8,276 | Pack Corp/The JP3345900009 | 39 | 56.4M $ |
| 8,277 | Wickes Group PLC GB00BL6C2002 | 39 | 55.7M $ |
| 8,278 | Scientex BHD MYL4731OO005 | 39 | 52.9M $ |
| 8,279 | Wowprime Corp TW0002727005 | 39 | 52.3M $ |
| 8,280 | Astral Foods Ltd ZAE000029757 | 39 | 49.4M $ |
| 8,281 | G-bits Network Technology Xiamen Co Ltd CNE100002GK7 | 39 | 48.6M $ |
| 8,282 | Bank of the Ryukyus Ltd JP3975000005 | 39 | 48M $ |
| 8,283 | China Eastern Airlines Corp Ltd CNE1000002K5 | 39 | 45.9M $ |
| 8,284 | Sensirion Holding AG CH0406705126 | 39 | 44.5M $ |
| 8,285 | Shannon Semiconductor Technology Co Ltd CNE1000020T8 | 39 | 43.3M $ |
| 8,286 | Fujita Kanko Inc JP3816800001 | 39 | 43.1M $ |
| 8,287 | Wanxiang Qianchao Co Ltd CNE000000FB3 | 39 | 43M $ |
| 8,288 | Hanmi Science Co ltd KR7008930000 | 39 | 42.5M $ |
| 8,289 | PolyPeptide Group AG CH1110760852 | 39 | 42.2M $ |
| 8,290 | HK inno N Corp KR7195940002 | 39 | 41.8M $ |
| 8,291 | Nanosonics Ltd AU000000NAN9 | 39 | 40.6M $ |
| 8,292 | Petkim Petrokimya Holding AS TRAPETKM91E0 | 39 | 40M $ |
| 8,293 | Bell Food Group AG CH0315966322 | 39 | 39.4M $ |
| 8,294 | Shenzhen Sunway Communication Co Ltd CNE100000W94 | 39 | 38.6M $ |
| 8,295 | World Co Ltd JP3990210001 | 39 | 38.5M $ |
| 8,296 | China Resources Building Materials Technology Holdings Ltd KYG2113L1068 | 39 | 37M $ |
| 8,297 | Hollywood Bowl Group PLC GB00BD0NVK62 | 39 | 36.9M $ |
| 8,298 | Time Technoplast Ltd INE508G01029 | 39 | 36.1M $ |
| 8,299 | Shinnihon Corp JP3380300008 | 39 | 35.2M $ |
| 8,300 | PWR Holdings Ltd AU000000PWH0 | 39 | 35.2M $ |