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 |
|---|---|---|---|
| 4 101 | Zydus Lifesciences Ltd INE010B01027 | 122 | 1,8 Md $ |
| 4 102 | Zealand Pharma A/S DK0060257814 | 122 | 1,2 Md $ |
| 4 103 | XPeng Inc KYG982AW1003 | 122 | 1,1 Md $ |
| 4 104 | Ser Educacional SA BRSEERACNOR5 | 122 | 1 Md $ |
| 4 105 | Camtek Ltd/Israel IL0010952641 | 122 | 958,5 M $ |
| 4 106 | Brunello Cucinelli SpA IT0004764699 | 122 | 901,9 M $ |
| 4 107 | Plus500 Ltd IL0011284465 | 122 | 897,4 M $ |
| 4 108 | HYBE Co Ltd KR7352820005 | 122 | 872,6 M $ |
| 4 109 | Isetan Mitsukoshi Holdings Ltd. JP3894900004 | 122 | 732 M $ |
| 4 110 | Wienerberger AG AT0000831706 | 122 | 567,6 M $ |
| 4 111 | WuXi AppTec Co Ltd CNE1000031K4 | 122 | 567,1 M $ |
| 4 112 | IGM Financial Inc CA4495861060 | 122 | 567 M $ |
| 4 113 | Mobile Telecommunications Co KSCP KW0EQ0601058 | 122 | 507 M $ |
| 4 114 | Turkcell Iletisim Hizmetleri AS TRATCELL91M1 | 122 | 476,7 M $ |
| 4 115 | Budimex SA PLBUDMX00013 | 122 | 383,7 M $ |
| 4 116 | BYD Electronic International Co Ltd HK0285041858 | 122 | 305,4 M $ |
| 4 117 | Wan Hai Lines Ltd TW0002615002 | 122 | 291,2 M $ |
| 4 118 | Orchid Island Capital Inc US68571X3017 | 122 | 280,1 M $ |
| 4 119 | Asure Software Inc US04649U1025 | 122 | 148,1 M $ |
| 4 120 | Cerus Corp US1570851014 | 122 | 111,2 M $ |
| 4 121 | Aquestive Therapeutics Inc US03843E1047 | 122 | 72 M $ |
| 4 122 | Alpine Income Property Trust Inc US02083X1037 | 122 | 63,2 M $ |
| 4 123 | Omega Flex Inc US6820951043 | 122 | 40,7 M $ |
| 4 124 | Immersion Corp US4525211078 | 122 | 39,2 M $ |
| 4 125 | Evolution Petroleum Corp US30049A1079 | 122 | 31,8 M $ |
| 4 126 | 1-800-Flowers.com Inc US68243Q1067 | 122 | 23,6 M $ |
| 4 127 | Grasim Industries Ltd INE047A01021 | 121 | 33,4 Md $ |
| 4 128 | Global Unichip Corp TW0003443008 | 121 | 1,6 Md $ |
| 4 129 | Havells India Ltd INE176B01034 | 121 | 1,3 Md $ |
| 4 130 | Innolux Corp TW0003481008 | 121 | 880,7 M $ |
| 4 131 | NARI Technology Co Ltd CNE000001G38 | 121 | 755,1 M $ |
| 4 132 | SCOR SE FR0010411983 | 121 | 752,9 M $ |
| 4 133 | Foxconn Industrial Internet Co Ltd CNE1000031P3 | 121 | 616,3 M $ |
| 4 134 | Toyo Tire Corp JP3610600003 | 121 | 576,4 M $ |
| 4 135 | Japan Real Estate Investment Corp JP3027680002 | 121 | 565,9 M $ |
| 4 136 | Japan Metropolitan Fund Invest JP3039710003 | 121 | 554,6 M $ |
| 4 137 | Pirelli & C SpA IT0005278236 | 121 | 526,3 M $ |
| 4 138 | Hong Leong Bank Bhd MYL5819OO007 | 121 | 508,7 M $ |
| 4 139 | Kuraray Co Ltd JP3269600007 | 121 | 435,3 M $ |
| 4 140 | Santen Pharmaceutical Co Ltd JP3336000009 | 121 | 409,8 M $ |
| 4 141 | Tosoh Corp JP3595200001 | 121 | 393,8 M $ |
| 4 142 | China National Building Material Co Ltd CNE1000002N9 | 121 | 328,3 M $ |
| 4 143 | Zhuzhou CRRC Times Electric Co Ltd CNE1000004X4 | 121 | 296,1 M $ |
| 4 144 | NextNav Inc US65345N1063 | 121 | 243 M $ |
| 4 145 | NIQ Global Intelligence Plc IE000JMT8VI3 | 121 | 159,2 M $ |
| 4 146 | Serve Robotics Inc US81758H1068 | 121 | 109,4 M $ |
| 4 147 | SunOpta Inc CA8676EP1086 | 121 | 85,4 M $ |
| 4 148 | W&T Offshore Inc US92922P1066 | 121 | 77,8 M $ |
| 4 149 | EVgo Inc US30052F1003 | 121 | 58,3 M $ |
| 4 150 | Acacia Research Corp US0038813079 | 121 | 45,6 M $ |
| 4 151 | First Community Corp/SC US3198351047 | 121 | 42,5 M $ |
| 4 152 | OppFi Inc US68386H1032 | 121 | 42,4 M $ |
| 4 153 | Viant Technology Inc US92557A1016 | 121 | 35,7 M $ |
| 4 154 | Fate Therapeutics Inc US31189P1021 | 121 | 24,9 M $ |
| 4 155 | CS Disco Inc US1263271058 | 121 | 21,7 M $ |
| 4 156 | Dabur India Ltd INE016A01026 | 120 | 13,3 Md $ |
| 4 157 | Fomento Economico Mexicano SAB de CV MXP320321310 | 120 | 1,9 Md $ |
| 4 158 | PLS Group Ltd AU000000PLS0 | 120 | 1,2 Md $ |
| 4 159 | CITIC Ltd HK0267001375 | 120 | 868 M $ |
| 4 160 | Lion Finance Group PLC GB00BF4HYT85 | 120 | 843,6 M $ |
| 4 161 | thyssenkrupp AG DE0007500001 | 120 | 799,4 M $ |
| 4 162 | Chang Hwa Commercial Bank Ltd TW0002801008 | 120 | 666,5 M $ |
| 4 163 | Fortune Electric Co Ltd TW0001519007 | 120 | 649 M $ |
| 4 164 | NEXTDC Ltd AU000000NXT8 | 120 | 612,5 M $ |
| 4 165 | CD Projekt SA PLOPTTC00011 | 120 | 594,4 M $ |
| 4 166 | Amorepacific Corp KR7090430000 | 120 | 548 M $ |
| 4 167 | Sable Offshore Corp US78574H1041 | 120 | 445,1 M $ |
| 4 168 | Far Eastern New Century Corp TW0001402006 | 120 | 434,6 M $ |
| 4 169 | Haitian International Holdings Ltd KYG4232C1087 | 120 | 425,7 M $ |
| 4 170 | LG Display Co Ltd KR7034220004 | 120 | 359,3 M $ |
| 4 171 | Escalade Inc US2960561049 | 120 | 33,9 M $ |
| 4 172 | FutureFuel Corp US36116M1062 | 120 | 28 M $ |
| 4 173 | TechTarget Inc US87874R3084 | 120 | 25,8 M $ |
| 4 174 | TTEC Holdings Inc US89854H1023 | 120 | 21,1 M $ |
| 4 175 | Energy Transfer LP US29273V1008 | 119 | 6 Md $ |
| 4 176 | NKT A/S DK0010287663 | 119 | 2,2 Md $ |
| 4 177 | JM AB SE0000806994 | 119 | 1,3 Md $ |
| 4 178 | flatexDEGIRO SE DE000FTG1111 | 119 | 993,9 M $ |
| 4 179 | Methanex Corp CA59151K1084 | 119 | 893,3 M $ |
| 4 180 | MakeMyTrip Ltd MU0295S00016 | 119 | 875,5 M $ |
| 4 181 | Omron Corp JP3197800000 | 119 | 748 M $ |
| 4 182 | Kinden Corp JP3263000006 | 119 | 705,5 M $ |
| 4 183 | Alibaba Health Information Technology Ltd BMG0171K1018 | 119 | 424,3 M $ |
| 4 184 | Mazda Motor Corp JP3868400007 | 119 | 422,4 M $ |
| 4 185 | Moneta Money Bank AS CZ0008040318 | 119 | 421,1 M $ |
| 4 186 | Mitsui Chemicals Inc JP3888300005 | 119 | 414,1 M $ |
| 4 187 | Toyoda Gosei Co Ltd JP3634200004 | 119 | 385,7 M $ |
| 4 188 | Vitru Brasil Empreendimentos Participacoes e Comercio SA BRVTRUACNOR3 | 119 | 206,2 M $ |
| 4 189 | Ponce Financial Group Inc US7323441060 | 119 | 76,9 M $ |
| 4 190 | Verastem Inc US92337C2035 | 119 | 70,2 M $ |
| 4 191 | Gencor Industries Inc US3686781085 | 119 | 55,1 M $ |
| 4 192 | NACCO Industries Inc US6295791031 | 119 | 50,6 M $ |
| 4 193 | Alico Inc US0162301040 | 119 | 47,9 M $ |
| 4 194 | Commerce.com Inc US08975P1084 | 119 | 43,1 M $ |
| 4 195 | Rimini Street Inc US76674Q1076 | 119 | 33,7 M $ |
| 4 196 | Hain Celestial Group Inc/The US4052171000 | 119 | 16,7 M $ |
| 4 197 | FSN E-Commerce Ventures Ltd INE388Y01029 | 118 | 40,6 Md $ |
| 4 198 | United Spirits Ltd INE854D01024 | 118 | 10 Md $ |
| 4 199 | IDFC First Bank Ltd INE092T01019 | 118 | 5,3 Md $ |
| 4 200 | Vitec Software Group AB SE0007871363 | 118 | 2,8 Md $ |