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 |
|---|---|---|---|
| 4 701 | Mineral Resources Ltd AU000000MIN4 | 100 | 657,7 M $ |
| 4 702 | Swissquote Group Holding SA CH0010675863 | 100 | 655,5 M $ |
| 4 703 | Almarai Co JSC SA000A0ETHT1 | 100 | 630,5 M $ |
| 4 704 | Diagnosticos da America SA BRDASAACNOR1 | 100 | 548,3 M $ |
| 4 705 | Gigabyte Technology Co Ltd TW0002376001 | 100 | 539 M $ |
| 4 706 | Shimamura Co Ltd JP3358200008 | 100 | 476,5 M $ |
| 4 707 | Yokohama Rubber Co Ltd/The JP3955800002 | 100 | 467,5 M $ |
| 4 708 | Freenet AG DE000A0Z2ZZ5 | 100 | 428,5 M $ |
| 4 709 | Vienna Insurance Group AG Wiener Versicherung Gruppe AT0000908504 | 100 | 343,5 M $ |
| 4 710 | Worley Ltd AU000000WOR2 | 100 | 335,8 M $ |
| 4 711 | JTEKT Corp JP3292200007 | 100 | 330,4 M $ |
| 4 712 | Baoshan Iron & Steel Co Ltd CNE0000015R4 | 100 | 253,3 M $ |
| 4 713 | Oceanpact Servicos Maritimos SA BROPCTACNOR0 | 100 | 239,3 M $ |
| 4 714 | Strabag SE AT000000STR1 | 100 | 199 M $ |
| 4 715 | Hakuhodo DY Holdings Inc JP3766550002 | 100 | 151,6 M $ |
| 4 716 | Strive Inc US8629453007 | 100 | 124 M $ |
| 4 717 | Sonida Senior Living Inc US1404752032 | 100 | 94 M $ |
| 4 718 | BR Advisory Partners Participacoes SA BRBRBICDAM10 | 100 | 57,5 M $ |
| 4 719 | Richtech Robotics Inc US7655041058 | 100 | 52,4 M $ |
| 4 720 | Real Brokerage Inc/The CA75585H2063 | 100 | 48,6 M $ |
| 4 721 | American Outdoor Brands Inc US02875D1090 | 100 | 39,3 M $ |
| 4 722 | Epsilon Energy Ltd CA2943752097 | 100 | 31,3 M $ |
| 4 723 | First National Corp/VA US32106V1070 | 100 | 27,4 M $ |
| 4 724 | Finwise Bancorp US31813A1097 | 100 | 25,3 M $ |
| 4 725 | Whitefiber Inc KYG961151035 | 100 | 24,1 M $ |
| 4 726 | eHealth Inc US28238P1093 | 100 | 6,8 M $ |
| 4 727 | Swiggy Ltd INE00H001014 | 99 | 27,5 Md $ |
| 4 728 | Multi Commodity Exchange of India Ltd INE745G01043 | 99 | 19,1 Md $ |
| 4 729 | Nolato AB SE0015962477 | 99 | 2,5 Md $ |
| 4 730 | BitMine Immersion Technologies Inc US09175A2069 | 99 | 1,1 Md $ |
| 4 731 | NIO Inc KYG6525F1028 | 99 | 798,3 M $ |
| 4 732 | HD Hyundai Marine Solution Co Ltd KR7443060009 | 99 | 664,1 M $ |
| 4 733 | UNITE Group PLC/The GB0006928617 | 99 | 441,6 M $ |
| 4 734 | Computacenter PLC GB00BV9FP302 | 99 | 416,3 M $ |
| 4 735 | Electric Power Development Co Ltd JP3551200003 | 99 | 399,7 M $ |
| 4 736 | Bank of Jiangsu Co Ltd CNE100002G76 | 99 | 302,8 M $ |
| 4 737 | Ping An Bank Co Ltd CNE000000040 | 99 | 213,8 M $ |
| 4 738 | Compass Diversified Holdings US20451Q1040 | 99 | 128,3 M $ |
| 4 739 | Meliuz SA BRCASHACNOR8 | 99 | 53 M $ |
| 4 740 | Ares Commercial Real Estate Corp US04013V1089 | 99 | 45,8 M $ |
| 4 741 | TPG Mortgage Investment Trust Inc US0012285013 | 99 | 37,9 M $ |
| 4 742 | GBank Financial Holdings Inc US36166F1003 | 99 | 36,9 M $ |
| 4 743 | MeiraGTx Holdings plc KYG596651029 | 99 | 35,7 M $ |
| 4 744 | Protara Therapeutics Inc US74365U1079 | 99 | 35,5 M $ |
| 4 745 | Hawthorn Bancshares Inc US4204761039 | 99 | 28,4 M $ |
| 4 746 | Lakeland Industries Inc US5117951062 | 99 | 21,8 M $ |
| 4 747 | PAMT CORP US6931491061 | 99 | 19,8 M $ |
| 4 748 | Beauty Health Co/The US88331L1089 | 99 | 18,8 M $ |
| 4 749 | Alkem Laboratories Ltd INE540L01014 | 98 | 10,4 Md $ |
| 4 750 | Ambuja Cements Ltd INE079A01024 | 98 | 3,6 Md $ |
| 4 751 | Formosa Plastics Corp TW0001301000 | 98 | 735,1 M $ |
| 4 752 | BNK Financial Group Inc KR7138930003 | 98 | 696,9 M $ |
| 4 753 | TCC Group Holdings Co Ltd TW0001101004 | 98 | 597,8 M $ |
| 4 754 | Attendo AB SE0007666110 | 98 | 586,5 M $ |
| 4 755 | Yankuang Energy Group Co Ltd CNE1000004Q8 | 98 | 552,6 M $ |
| 4 756 | Dowa Holdings Co Ltd JP3638600001 | 98 | 460,2 M $ |
| 4 757 | META PLAT DRN BRM1TABDR009 | 98 | 434,4 M $ |
| 4 758 | Royal Unibrew A/S DK0060634707 | 98 | 392,5 M $ |
| 4 759 | Saudi Energy Co SA0007879550 | 98 | 387,9 M $ |
| 4 760 | MISC Bhd MYL3816OO005 | 98 | 372,8 M $ |
| 4 761 | Kakaku.com Inc JP3206000006 | 98 | 343,3 M $ |
| 4 762 | Eastroc Beverage Group Co Ltd CNE100005576 | 98 | 307,7 M $ |
| 4 763 | Suzuken Co Ltd/Aichi Japan JP3398000004 | 98 | 305,9 M $ |
| 4 764 | Bekaert SA BE0974258874 | 98 | 301,3 M $ |
| 4 765 | Toyo Seikan Group Holdings Ltd JP3613400005 | 98 | 269,2 M $ |
| 4 766 | Tecnicas Reunidas SA ES0178165017 | 98 | 265 M $ |
| 4 767 | SEEK Ltd AU000000SEK6 | 98 | 238,4 M $ |
| 4 768 | Nisshin Seifun Group Inc JP3676800000 | 98 | 235,9 M $ |
| 4 769 | Satellogic Inc US80401C1009 | 98 | 81,7 M $ |
| 4 770 | Fermi Inc US3149111086 | 98 | 48,2 M $ |
| 4 771 | MBIA Inc US55262C1009 | 98 | 37,9 M $ |
| 4 772 | TSS INC US87288V1017 | 98 | 36,5 M $ |
| 4 773 | MicroVision Inc US5949603048 | 98 | 32,1 M $ |
| 4 774 | Friedman Industries Inc US3584351056 | 98 | 26,9 M $ |
| 4 775 | aTyr Pharma Inc US0021202025 | 98 | 25,5 M $ |
| 4 776 | Claritev Corp US62548M2098 | 98 | 24,2 M $ |
| 4 777 | CVRx Inc US1266381052 | 98 | 21 M $ |
| 4 778 | JSW Energy Ltd INE121E01018 | 97 | 37,8 Md $ |
| 4 779 | Rio Tinto PLC US7672041008 | 97 | 1,3 Md $ |
| 4 780 | Paladin Energy Ltd AU000000PDN8 | 97 | 1,1 Md $ |
| 4 781 | Iveco Group NV NL0015000LU4 | 97 | 871,2 M $ |
| 4 782 | Volvo AB SE0000115420 | 97 | 841,9 M $ |
| 4 783 | FLSmidth & Co A/S DK0010234467 | 97 | 789,6 M $ |
| 4 784 | Europris ASA NO0010735343 | 97 | 696 M $ |
| 4 785 | Nanya Technology Corp TW0002408002 | 97 | 666,5 M $ |
| 4 786 | Pennon Group PLC GB00BNNTLN49 | 97 | 629 M $ |
| 4 787 | Horizon Robotics KYG4602S1057 | 97 | 610,6 M $ |
| 4 788 | Rotork PLC GB00BVFNZH21 | 97 | 501,2 M $ |
| 4 789 | Shandong Gold Mining Co Ltd CNE1000036N7 | 97 | 378,4 M $ |
| 4 790 | Synnex Technology International Corp TW0002347002 | 97 | 349,3 M $ |
| 4 791 | APERAM SA LU0569974404 | 97 | 341 M $ |
| 4 792 | IPSOS SA FR0000073298 | 97 | 340,2 M $ |
| 4 793 | INFRONEER Holdings Inc JP3153850007 | 97 | 331,7 M $ |
| 4 794 | GS Holdings Corp KR7078930005 | 97 | 309 M $ |
| 4 795 | Lion Corp JP3965400009 | 97 | 302,7 M $ |
| 4 796 | Schaeffler AG DE000SHA0100 | 97 | 255,7 M $ |
| 4 797 | Kaneka Corp JP3215800008 | 97 | 214,3 M $ |
| 4 798 | VTech Holdings Ltd BMG9400S1329 | 97 | 207,5 M $ |
| 4 799 | Iida Group Holdings Co Ltd JP3131090007 | 97 | 195,2 M $ |
| 4 800 | Elecnor SA ES0129743318 | 97 | 184,9 M $ |