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 |
|---|---|---|---|
| 3 801 | Eastman Kodak Co US2774614067 | 135 | 136,9 M $ |
| 3 802 | Altimmune Inc US02155H2004 | 135 | 94,2 M $ |
| 3 803 | FS Bancorp Inc US30263Y1047 | 135 | 87,5 M $ |
| 3 804 | Flotek Industries Inc US3433894090 | 135 | 73,2 M $ |
| 3 805 | Liberty Latin America Ltd BMG9001E1021 | 135 | 72,1 M $ |
| 3 806 | LENZ Therapeutics Inc US52635N1037 | 135 | 67,8 M $ |
| 3 807 | Onity Group Inc US6757466064 | 135 | 66,7 M $ |
| 3 808 | Nextdoor Holdings Inc US65345M1080 | 135 | 59,1 M $ |
| 3 809 | Ardent Health Inc US03980N1072 | 135 | 59 M $ |
| 3 810 | Ibotta Inc US4510511060 | 135 | 57,1 M $ |
| 3 811 | Simulations Plus Inc US8292141053 | 135 | 51,9 M $ |
| 3 812 | OptimizeRx Corp US68401U2042 | 135 | 28,3 M $ |
| 3 813 | AU Small Finance Bank Ltd INE949L01017 | 134 | 9,7 Md $ |
| 3 814 | China Shenhua Energy Co Ltd CNE1000002R0 | 134 | 2 Md $ |
| 3 815 | Emirates Telecommunications Group Co PJSC AEE000401019 | 134 | 1,9 Md $ |
| 3 816 | Aedifica SA BE0003851681 | 134 | 1,2 Md $ |
| 3 817 | Fibra Uno Administracion SA de CV MXCFFU000001 | 134 | 969,4 M $ |
| 3 818 | Bilibili Inc KYG1098A1013 | 134 | 902,1 M $ |
| 3 819 | Venture Global Inc US92333F1012 | 134 | 899,6 M $ |
| 3 820 | Postal Savings Bank of China Co Ltd CNE1000029W3 | 134 | 749,3 M $ |
| 3 821 | LEGEND BIOTECH CORP US52490G1022 | 134 | 668,4 M $ |
| 3 822 | Turkiye Petrol Rafinerileri AS TRATUPRS91E8 | 134 | 633,1 M $ |
| 3 823 | Armac Locacao Logistica E Servicos SA BRARMLACNOR1 | 134 | 568,5 M $ |
| 3 824 | Telekom Malaysia Bhd MYL4863OO006 | 134 | 403,4 M $ |
| 3 825 | China Minsheng Banking Corp Ltd CNE100000HF9 | 134 | 394,7 M $ |
| 3 826 | NANO Nuclear Energy Inc US63010H1086 | 134 | 252 M $ |
| 3 827 | L B Foster Co US3500601097 | 134 | 96,7 M $ |
| 3 828 | Weave Communications Inc US94724R1086 | 134 | 78,8 M $ |
| 3 829 | First Bancorp Inc/The US31866P1021 | 134 | 54,5 M $ |
| 3 830 | RCI Hospitality Holdings Inc US74934Q1085 | 134 | 37,2 M $ |
| 3 831 | Thryv Holdings Inc US8860292064 | 134 | 27,6 M $ |
| 3 832 | Hitachi Energy India Ltd INE07Y701011 | 133 | 2 Md $ |
| 3 833 | Clas Ohlson AB SE0000584948 | 133 | 1,9 Md $ |
| 3 834 | LG Energy Solution Ltd KR7373220003 | 133 | 1,6 Md $ |
| 3 835 | VOLKSWAGEN AKTIENGESELLSCHAFT DE0007664039 | 133 | 1,4 Md $ |
| 3 836 | Gruma SAB de CV MXP4948K1056 | 133 | 1,2 Md $ |
| 3 837 | Anhui Conch Cement Co Ltd CNE1000001W2 | 133 | 1,1 Md $ |
| 3 838 | Northam Platinum Holdings Ltd ZAE000298253 | 133 | 901,8 M $ |
| 3 839 | West Fraser Timber Co Ltd CA9528451052 | 133 | 699,7 M $ |
| 3 840 | MICROSOFT DRN BRMSFTBDR005 | 133 | 652,8 M $ |
| 3 841 | Seiko Epson Corp JP3414750004 | 133 | 430,4 M $ |
| 3 842 | Ayala Land Inc PHY0488F1004 | 133 | 308,5 M $ |
| 3 843 | AH Realty Trust Inc US04208T1088 | 133 | 141,1 M $ |
| 3 844 | Lexeo Therapeutics Inc US52886X1072 | 133 | 80 M $ |
| 3 845 | Pangaea Logistics Solutions Ltd BMG6891L1054 | 133 | 61,5 M $ |
| 3 846 | Krispy Kreme Inc US50101L1061 | 133 | 61,4 M $ |
| 3 847 | RE/MAX Holdings Inc US75524W1080 | 133 | 44,1 M $ |
| 3 848 | OmniAb Inc US68218J1034 | 133 | 26,4 M $ |
| 3 849 | Info Edge India Ltd INE663F01032 | 132 | 7,1 Md $ |
| 3 850 | China Petroleum & Chemical Corp CNE1000002Q2 | 132 | 1,9 Md $ |
| 3 851 | MIPS AB SE0009216278 | 132 | 1,4 Md $ |
| 3 852 | ADNOC Drilling Co PJSC AEA007301012 | 132 | 1,2 Md $ |
| 3 853 | King Slide Works Co Ltd TW0002059003 | 132 | 1 Md $ |
| 3 854 | SK Inc KR7034730002 | 132 | 955,5 M $ |
| 3 855 | NEPI Rockcastle NV NL0015000RT3 | 132 | 869,8 M $ |
| 3 856 | Pegatron Corp TW0004938006 | 132 | 792,3 M $ |
| 3 857 | International Games System Co Ltd TW0003293007 | 132 | 711,9 M $ |
| 3 858 | Ooredoo QPSC QA0007227737 | 132 | 479,5 M $ |
| 3 859 | Even Construtora e Incorporadora S/A BREVENACNOR8 | 132 | 430,1 M $ |
| 3 860 | Redwire Corp US75776W1036 | 132 | 241,7 M $ |
| 3 861 | Shandong Weigao Group Medical Polymer Co Ltd CNE100000171 | 132 | 239 M $ |
| 3 862 | Great Lakes Dredge & Dock Corp US3906071093 | 132 | 210,8 M $ |
| 3 863 | Inhibrx Biosciences Inc US45720N1037 | 132 | 183,9 M $ |
| 3 864 | Brown-Forman Corp US1156371007 | 132 | 179,8 M $ |
| 3 865 | T1 Energy Inc US35834F1049 | 132 | 176,6 M $ |
| 3 866 | Universal Logistics Holdings Inc US91388P1057 | 132 | 109,4 M $ |
| 3 867 | Ferroglobe PLC GB00BYW6GV68 | 132 | 105,2 M $ |
| 3 868 | Nathan's Famous Inc US6323471002 | 132 | 92,2 M $ |
| 3 869 | Editas Medicine Inc US28106W1036 | 132 | 49,2 M $ |
| 3 870 | First Western Financial Inc US33751L1052 | 132 | 46,4 M $ |
| 3 871 | Alector Inc US0144421072 | 132 | 40,3 M $ |
| 3 872 | Medifast Inc US58470H1014 | 132 | 34,2 M $ |
| 3 873 | Aurobindo Pharma Ltd INE406A01037 | 131 | 35,9 Md $ |
| 3 874 | LTIMindtree Ltd INE214T01019 | 131 | 14,8 Md $ |
| 3 875 | REC Ltd INE020B01018 | 131 | 7,4 Md $ |
| 3 876 | Camurus AB SE0007692850 | 131 | 3,6 Md $ |
| 3 877 | Lodha Developers Ltd INE670K01029 | 131 | 2,4 Md $ |
| 3 878 | Eldorado Gold Corp CA2849025093 | 131 | 2,3 Md $ |
| 3 879 | Li Auto Inc KYG5479M1050 | 131 | 1,1 Md $ |
| 3 880 | SABIC Agri-Nutrients Co SA0007879139 | 131 | 1,1 Md $ |
| 3 881 | Meritz Financial Group Inc KR7138040001 | 131 | 784,2 M $ |
| 3 882 | Fukuoka Financial Group Inc JP3805010000 | 131 | 718,2 M $ |
| 3 883 | Infrastrutture Wireless Italiane SpA IT0005090300 | 131 | 623,5 M $ |
| 3 884 | Fluidra SA ES0137650018 | 131 | 568,8 M $ |
| 3 885 | Bosideng International Holdings Ltd KYG126521064 | 131 | 556,9 M $ |
| 3 886 | JB Hi-Fi Ltd AU000000JBH7 | 131 | 516,2 M $ |
| 3 887 | City Developments Ltd SG1R89002252 | 131 | 451 M $ |
| 3 888 | Orient Overseas International Ltd BMG677491539 | 131 | 380,6 M $ |
| 3 889 | Metropolitan Bank & Trust Co PHY6028G1361 | 131 | 344,7 M $ |
| 3 890 | Capricor Therapeutics Inc US14070B3096 | 131 | 252,6 M $ |
| 3 891 | Diversified Energy Co US25520W1071 | 131 | 200,8 M $ |
| 3 892 | Evolv Technologies Holdings Inc US30049H1023 | 131 | 200 M $ |
| 3 893 | BlackSky Technology Inc US09263B2079 | 131 | 187,2 M $ |
| 3 894 | Portillo's Inc US73642K1060 | 131 | 87 M $ |
| 3 895 | Rezolute Inc US76200L3096 | 131 | 83,8 M $ |
| 3 896 | Ranpak Holdings Corp US75321W1036 | 131 | 64,8 M $ |
| 3 897 | Quanterix Corp US74766Q1013 | 131 | 55,2 M $ |
| 3 898 | Concrete Pumping Holdings Inc US2067041085 | 131 | 50 M $ |
| 3 899 | Citizens Financial Services Inc US1746151042 | 131 | 41,3 M $ |
| 3 900 | Superior Group of Cos Inc US8683581024 | 131 | 35,2 M $ |