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 |
|---|---|---|---|
| 4 501 | Clarus Corp US18270P1093 | 107 | 17,6 M $ |
| 4 502 | Kuwait Finance House KSCP KW0EQ0100085 | 106 | 3 Md $ |
| 4 503 | Nokia Oyj US6549022043 | 106 | 2,3 Md $ |
| 4 504 | Tube Investments of India Ltd INE974X01010 | 106 | 2,1 Md $ |
| 4 505 | Alteogen Inc KR7196170005 | 106 | 1,1 Md $ |
| 4 506 | Vend Marketplaces ASA NO0010736879 | 106 | 1,1 Md $ |
| 4 507 | MAN GROUP PLC JE00BJ1DLW90 | 106 | 935,1 M $ |
| 4 508 | Westgold Resources Ltd AU000000WGX6 | 106 | 755,8 M $ |
| 4 509 | IREN Ltd AU0000185993 | 106 | 627,1 M $ |
| 4 510 | AMAZON DRN BRAMZOBDR002 | 106 | 604 M $ |
| 4 511 | Korean Air Lines Co Ltd KR7003490000 | 106 | 426,9 M $ |
| 4 512 | Ford Otomotiv Sanayi AS TRAOTOSN91H6 | 106 | 370,3 M $ |
| 4 513 | Dentsu Group Inc JP3551520004 | 106 | 348,6 M $ |
| 4 514 | Enel Chile SA CL0002266774 | 106 | 305,3 M $ |
| 4 515 | Yamato Holdings Co Ltd JP3940000007 | 106 | 302,3 M $ |
| 4 516 | Axiata Group Bhd MYL6888OO001 | 106 | 290,8 M $ |
| 4 517 | Huatai Securities Co Ltd CNE100001YQ9 | 106 | 262,4 M $ |
| 4 518 | Sonae SGPS SA PTSON0AM0001 | 106 | 244,1 M $ |
| 4 519 | Sime Darby Bhd MYL4197OO009 | 106 | 239,1 M $ |
| 4 520 | Empresas CMPC SA CL0000001314 | 106 | 212 M $ |
| 4 521 | SEMrush Holdings Inc US81686C1045 | 106 | 187,5 M $ |
| 4 522 | Petronas Dagangan Bhd MYL5681OO001 | 106 | 173,3 M $ |
| 4 523 | ASP Isotopes Inc US00218A1051 | 106 | 80,7 M $ |
| 4 524 | Gladstone Land Corp US3765491010 | 106 | 73,3 M $ |
| 4 525 | Stratus Properties Inc US8631672016 | 106 | 38,6 M $ |
| 4 526 | Franklin Financial Services Corp US3535251082 | 106 | 35,3 M $ |
| 4 527 | Open Lending Corp US68373J1043 | 106 | 32,3 M $ |
| 4 528 | Riverview Bancorp Inc US7693971001 | 106 | 30,8 M $ |
| 4 529 | Fidelity D&D Bancorp Inc US31609R1005 | 106 | 26,2 M $ |
| 4 530 | RCM Technologies Inc US7493604000 | 106 | 22,8 M $ |
| 4 531 | Gossamer Bio Inc US38341P1021 | 106 | 10,3 M $ |
| 4 532 | State Street Institutional US Government Money Market Fund US8574927062 | 105 | 7,1 Md $ |
| 4 533 | iShares Core MSCI Emerging Markets ETF US46434G1031 | 105 | 3,8 Md $ |
| 4 534 | Aura Minerals Inc BRAURABDR001 | 105 | 2,3 Md $ |
| 4 535 | Cemex SAB de CV MXP225611567 | 105 | 2,1 Md $ |
| 4 536 | RS GROUP PLC GB0003096442 | 105 | 756,1 M $ |
| 4 537 | Shizuoka Financial Group Inc JP3351500008 | 105 | 603,1 M $ |
| 4 538 | Grupo Cibest SA COTK7PA00010 | 105 | 577,7 M $ |
| 4 539 | TGS ASA NO0003078800 | 105 | 539,7 M $ |
| 4 540 | Inventec Corp TW0002356003 | 105 | 510,4 M $ |
| 4 541 | Fuyao Glass Industry Group Co Ltd CNE000000230 | 105 | 508,1 M $ |
| 4 542 | Sumitomo Chemical Co Ltd JP3401400001 | 105 | 464,3 M $ |
| 4 543 | Medipal Holdings Corp JP3268950007 | 105 | 406,7 M $ |
| 4 544 | Guotai Haitong Securities Co Ltd CNE100002FK9 | 105 | 390,5 M $ |
| 4 545 | Haidilao International Holding Ltd KYG4290A1013 | 105 | 383,6 M $ |
| 4 546 | Yamaha Corp JP3942600002 | 105 | 325,2 M $ |
| 4 547 | Qinghai Salt Lake Industry Co Ltd CNE000000SW2 | 105 | 324,2 M $ |
| 4 548 | Cardinal Infrastructure Group Inc US14154A1025 | 105 | 313,5 M $ |
| 4 549 | Yutong Bus Co Ltd CNE000000PY4 | 105 | 255,5 M $ |
| 4 550 | Nippon Shinyaku Co Ltd JP3717600005 | 105 | 240,8 M $ |
| 4 551 | Rinnai Corp JP3977400005 | 105 | 239,5 M $ |
| 4 552 | China Airlines Ltd TW0002610003 | 105 | 234,8 M $ |
| 4 553 | Harvey Norman Holdings Ltd AU000000HVN7 | 105 | 203,8 M $ |
| 4 554 | Corp ACCIONA Energias Renovables SA ES0105563003 | 105 | 162 M $ |
| 4 555 | Encore Energy Corp CA29259W7008 | 105 | 125 M $ |
| 4 556 | Bel Fuse Inc US0773472016 | 105 | 90,8 M $ |
| 4 557 | Oak Valley Bancorp US6718071052 | 105 | 34,3 M $ |
| 4 558 | Eagle Bancorp Montana Inc US26942G1004 | 105 | 32,8 M $ |
| 4 559 | Nkarta Inc US65487U1088 | 105 | 19 M $ |
| 4 560 | MaxCyte Inc US57777K1060 | 105 | 10,9 M $ |
| 4 561 | Federal Bank Ltd INE171A01029 | 104 | 20,2 Md $ |
| 4 562 | Siemens Ltd INE003A01024 | 104 | 12,1 Md $ |
| 4 563 | First Majestic Silver Corp CA32076V1031 | 104 | 2,9 Md $ |
| 4 564 | Qatar Islamic Bank QPSC QA0006929853 | 104 | 1,1 Md $ |
| 4 565 | Harel Insurance Investments & Financial Services Ltd IL0005850180 | 104 | 929,2 M $ |
| 4 566 | QinetiQ Group PLC GB00B0WMWD03 | 104 | 827,8 M $ |
| 4 567 | PharmaEssentia Corp TW0006446008 | 104 | 799,9 M $ |
| 4 568 | Hoshizaki Corp JP3845770001 | 104 | 707,2 M $ |
| 4 569 | Gamuda Bhd MYL5398OO002 | 104 | 628,7 M $ |
| 4 570 | Advanced Info Service PCL TH0268010R11 | 104 | 619,2 M $ |
| 4 571 | LG Innotek Co Ltd KR7011070000 | 104 | 566,5 M $ |
| 4 572 | ERO Copper Corp CA2960061091 | 104 | 544,4 M $ |
| 4 573 | Samyang Foods Co Ltd KR7003230000 | 104 | 436,1 M $ |
| 4 574 | China Coal Energy Co Ltd CNE100000528 | 104 | 407 M $ |
| 4 575 | Gree Electric Appliances Inc of Zhuhai CNE0000001D4 | 104 | 399,5 M $ |
| 4 576 | Alten SA FR0000071946 | 104 | 365,8 M $ |
| 4 577 | China Resources Gas Group Ltd BMG2113B1081 | 104 | 364,1 M $ |
| 4 578 | Lixil Corp JP3626800001 | 104 | 336,2 M $ |
| 4 579 | Square Enix Holdings Co Ltd JP3164630000 | 104 | 329,1 M $ |
| 4 580 | Stanley Electric Co Ltd JP3399400005 | 104 | 281,2 M $ |
| 4 581 | BOE Technology Group Co Ltd CNE0000016L5 | 104 | 277,6 M $ |
| 4 582 | Samsung Episholdings Co Ltd KR70126Z0002 | 104 | 271,7 M $ |
| 4 583 | SSAB AB SE0000171100 | 104 | 249,7 M $ |
| 4 584 | Huayu Automotive Systems Co Ltd CNE000000M15 | 104 | 157,9 M $ |
| 4 585 | MapLight Therapeutics Inc US56565P1030 | 104 | 92,1 M $ |
| 4 586 | Candel Therapeutics Inc US1374041093 | 104 | 86,6 M $ |
| 4 587 | Standard BioTools Inc US34385P1084 | 104 | 43,6 M $ |
| 4 588 | Delcath Systems Inc US24661P8077 | 104 | 39,9 M $ |
| 4 589 | Citizens Community Bancorp Inc/WI US1749031043 | 104 | 39,8 M $ |
| 4 590 | Arq, Inc. US00770C1018 | 104 | 15,7 M $ |
| 4 591 | Jubilant Foodworks Ltd INE797F01020 | 103 | 27,4 Md $ |
| 4 592 | Kasikornbank PCL TH0016010017 | 103 | 1,5 Md $ |
| 4 593 | H Lundbeck A/S DK0061804770 | 103 | 972 M $ |
| 4 594 | Ecopro BM Co Ltd KR7247540008 | 103 | 849 M $ |
| 4 595 | Zabka Group SA LU2910446546 | 103 | 725,1 M $ |
| 4 596 | Tokyo Seimitsu Co Ltd JP3580200008 | 103 | 643 M $ |
| 4 597 | Fraport AG Frankfurt Airport Services Worldwide DE0005773303 | 103 | 639 M $ |
| 4 598 | Salik Co PJSC AEE01110S227 | 103 | 579,3 M $ |
| 4 599 | Arab National Bank SA0007879105 | 103 | 566,6 M $ |
| 4 600 | Bilfinger SE DE0005909006 | 103 | 523,4 M $ |