Les sociétés les plus détenues
Classées par le nombre de fonds qui déclarent une position sur la société.
30 697 au total
| Rang | Société | Détenteurs | Valeur |
|---|---|---|---|
| 3 701 | Mitsui Kinzoku Co Ltd JP3888400003 | 140 | 1,8 Md $ |
| 3 702 | Berkeley Group Holdings PLC GB00BP0RGD03 | 140 | 1,6 Md $ |
| 3 703 | IG Group Holdings PLC GB00B06QFB75 | 140 | 1,3 Md $ |
| 3 704 | Latam Airlines Group SA CL0000000423 | 140 | 1,2 Md $ |
| 3 705 | Finning International Inc CA3180714048 | 140 | 1,1 Md $ |
| 3 706 | Structure Therapeutics Inc US86366E1064 | 140 | 1 Md $ |
| 3 707 | Promotora y Operadora de Infraestructura SAB de CV MX01PI000005 | 140 | 670,6 M $ |
| 3 708 | China Taiping Insurance Holdings Co Ltd HK0000055878 | 140 | 579 M $ |
| 3 709 | Vidrala SA ES0183746314 | 140 | 243,3 M $ |
| 3 710 | BioAge Labs Inc US09077V1008 | 140 | 100,7 M $ |
| 3 711 | Timberland Bancorp Inc/WA US8870981011 | 140 | 84,7 M $ |
| 3 712 | Community Health Systems Inc US2036681086 | 140 | 76,6 M $ |
| 3 713 | Akebia Therapeutics Inc US00972D1054 | 140 | 62,1 M $ |
| 3 714 | Repay Holdings Corp US76029L1008 | 140 | 55,4 M $ |
| 3 715 | Ginkgo Bioworks Holdings Inc US37611X2099 | 140 | 55,2 M $ |
| 3 716 | BK Technologies Corp US05587G2030 | 140 | 51 M $ |
| 3 717 | Bank7 Corp US06652N1072 | 140 | 45,7 M $ |
| 3 718 | Cholamandalam Investment and Finance Co Ltd INE121A01024 | 139 | 35,8 Md $ |
| 3 719 | Tata Consumer Products Ltd INE192A01025 | 139 | 19,3 Md $ |
| 3 720 | Hindustan Aeronautics Ltd INE066F01020 | 139 | 6,9 Md $ |
| 3 721 | Bombardier Inc CA0977518616 | 139 | 4,3 Md $ |
| 3 722 | Gold Circuit Electronics Ltd TW0002368008 | 139 | 1,7 Md $ |
| 3 723 | Croda International PLC GB00BJFFLV09 | 139 | 1,1 Md $ |
| 3 724 | JD.COM INC US47215P1066 | 139 | 999,6 M $ |
| 3 725 | Inchcape PLC GB00B61TVQ02 | 139 | 953,9 M $ |
| 3 726 | Persimmon PLC GB0006825383 | 139 | 787,5 M $ |
| 3 727 | Bank Negara Indonesia Persero Tbk PT ID1000096605 | 139 | 559,7 M $ |
| 3 728 | Navan Inc US6391931010 | 139 | 256 M $ |
| 3 729 | Nordic American Tankers Ltd BMG657731060 | 139 | 229,7 M $ |
| 3 730 | CTO Realty Growth Inc US22948Q1013 | 139 | 155 M $ |
| 3 731 | Information Services Group Inc US45675Y1047 | 139 | 37,5 M $ |
| 3 732 | eGain Corp US28225C8064 | 139 | 29,7 M $ |
| 3 733 | Gold Fields Ltd US38059T1060 | 138 | 2,6 Md $ |
| 3 734 | Yaskawa Electric Corp JP3932000007 | 138 | 1,3 Md $ |
| 3 735 | Embracer Group AB SE0023615885 | 138 | 1,3 Md $ |
| 3 736 | Prologis Property Mexico SA de CV MXCFFI170008 | 138 | 953,2 M $ |
| 3 737 | Taiwan Mobile Co Ltd TW0003045001 | 138 | 918,2 M $ |
| 3 738 | Coway Co Ltd KR7021240007 | 138 | 817,4 M $ |
| 3 739 | Tongcheng Travel Holdings Ltd KYG8918W1069 | 138 | 727,9 M $ |
| 3 740 | SFL Corp Ltd BMG7738W1064 | 138 | 278,2 M $ |
| 3 741 | Ridgepost Capital Inc US69376K1060 | 138 | 215,5 M $ |
| 3 742 | ArriVent Biopharma Inc US04272N1028 | 138 | 204,3 M $ |
| 3 743 | Grupo Casas Bahia SA BRBHIAACNOR1 | 138 | 123,8 M $ |
| 3 744 | ARS Pharmaceuticals Inc US82835W1080 | 138 | 110,4 M $ |
| 3 745 | Accendra Health Inc US6907321029 | 138 | 59,1 M $ |
| 3 746 | GAIL India Ltd INE129A01019 | 137 | 49,9 Md $ |
| 3 747 | DLF Ltd INE271C01023 | 137 | 31,2 Md $ |
| 3 748 | Petronet LNG Ltd INE347G01014 | 137 | 11,8 Md $ |
| 3 749 | NP3 Fastigheter AB SE0006342333 | 137 | 3,8 Md $ |
| 3 750 | Mega Financial Holding Co Ltd TW0002886009 | 137 | 1,8 Md $ |
| 3 751 | Mirae Asset Securities Co Ltd KR7006800007 | 137 | 1,4 Md $ |
| 3 752 | First Financial Holding Co Ltd TW0002892007 | 137 | 1,3 Md $ |
| 3 753 | Largan Precision Co Ltd TW0003008009 | 137 | 1,2 Md $ |
| 3 754 | Silicon Motion Technology Corp US82706C1080 | 137 | 1,2 Md $ |
| 3 755 | Newamsterdam Pharma Co NV NL00150012L7 | 137 | 1,2 Md $ |
| 3 756 | AltaGas Ltd CA0213611001 | 137 | 1,1 Md $ |
| 3 757 | Bid Corp Ltd ZAE000216537 | 137 | 988,2 M $ |
| 3 758 | Sunny Optical Technology Group Co Ltd KYG8586D1097 | 137 | 668,2 M $ |
| 3 759 | 3SBio Inc KYG8875G1029 | 137 | 585,4 M $ |
| 3 760 | Persol Holdings Co Ltd JP3547670004 | 137 | 414,1 M $ |
| 3 761 | KalVista Pharmaceuticals Inc US4834971032 | 137 | 319,5 M $ |
| 3 762 | Liberty Live Holdings Inc US5309091008 | 137 | 285,3 M $ |
| 3 763 | Park-Ohio Holdings Corp US7006661000 | 137 | 104,9 M $ |
| 3 764 | CorMedix Inc US21900C3088 | 137 | 98,8 M $ |
| 3 765 | Colony Bankcorp Inc US19623P1012 | 137 | 88,5 M $ |
| 3 766 | Maravai LifeSciences Holdings Inc US56600D1072 | 137 | 70,6 M $ |
| 3 767 | Utah Medical Products Inc US9174881089 | 137 | 57,6 M $ |
| 3 768 | Octave Specialty Group Inc US0231398845 | 137 | 44,6 M $ |
| 3 769 | Kingstone Cos Inc US4967191051 | 137 | 42 M $ |
| 3 770 | NET Lease Office Properties US64110Y1082 | 137 | 33,5 M $ |
| 3 771 | JSW Steel Ltd INE019A01038 | 136 | 53,2 Md $ |
| 3 772 | Valmet Oyj FI4000074984 | 136 | 3,5 Md $ |
| 3 773 | Perseus Mining Ltd AU000000PRU3 | 136 | 1,3 Md $ |
| 3 774 | ICG PLC GB00BYT1DJ19 | 136 | 1,2 Md $ |
| 3 775 | Zhen Ding Technology Holding Ltd KYG989221000 | 136 | 1,1 Md $ |
| 3 776 | Kurita Water Industries Ltd JP3270000007 | 136 | 819 M $ |
| 3 777 | Mondi PLC GB00BMWC6P49 | 136 | 798,7 M $ |
| 3 778 | BayCurrent Inc JP3835250006 | 136 | 632,1 M $ |
| 3 779 | A2A SpA IT0001233417 | 136 | 585,7 M $ |
| 3 780 | Tokyu Fudosan Holdings Corp JP3569200003 | 136 | 553 M $ |
| 3 781 | Absci Corp US00091E1091 | 136 | 193,8 M $ |
| 3 782 | Hidrovias do Brasil SA BRHBSAACNOR0 | 136 | 135,6 M $ |
| 3 783 | Esperion Therapeutics Inc US29664W1053 | 136 | 132,3 M $ |
| 3 784 | Greenlight Capital Re Ltd KYG4095J1094 | 136 | 89,7 M $ |
| 3 785 | FRP Holdings Inc US30292L1070 | 136 | 84,2 M $ |
| 3 786 | Biglari Holdings Inc US08986R3093 | 136 | 73,6 M $ |
| 3 787 | Boston Omaha Corp US1010441053 | 136 | 61,4 M $ |
| 3 788 | Entravision Communications Corp US29382R1077 | 136 | 59,3 M $ |
| 3 789 | TruBridge Inc US2053061030 | 136 | 49,4 M $ |
| 3 790 | Meridian Corp US58958P1049 | 136 | 40,9 M $ |
| 3 791 | Oportun Financial Corp US68376D1046 | 136 | 40,3 M $ |
| 3 792 | Bravida Holding AB SE0007491303 | 135 | 5,9 Md $ |
| 3 793 | Hindustan Petroleum Corp Ltd INE094A01015 | 135 | 3 Md $ |
| 3 794 | South Bow Corp CA83671M1059 | 135 | 1,5 Md $ |
| 3 795 | Bank of Communications Co Ltd CNE100000205 | 135 | 1 Md $ |
| 3 796 | Infosys Ltd US4567881085 | 135 | 861,4 M $ |
| 3 797 | Open House Group Co Ltd JP3173540000 | 135 | 609,4 M $ |
| 3 798 | Longfor Group Holdings Ltd KYG5635P1090 | 135 | 358,7 M $ |
| 3 799 | Guangdong Investment Ltd HK0270001396 | 135 | 302,2 M $ |
| 3 800 | Talkspace Inc US87427V1035 | 135 | 171,6 M $ |