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 |
|---|---|---|---|
| 5 701 | Isracard Ltd IL0011574030 | 73 | 79,1 M $ |
| 5 702 | Shandong Nanshan Aluminum Co Ltd CNE000001139 | 73 | 71,8 M $ |
| 5 703 | Hangzhou First Applied Material Co Ltd CNE100001VX1 | 73 | 67 M $ |
| 5 704 | Sanan Optoelectronics Co Ltd CNE000000KB3 | 73 | 65 M $ |
| 5 705 | Blau Farmaceutica SA BRBLAUACNOR8 | 73 | 57,7 M $ |
| 5 706 | Lifezone Metals Ltd IM00BLCY1J27 | 73 | 29 M $ |
| 5 707 | SYN prop e tech SA BRSYNEACNOR2 | 73 | 29 M $ |
| 5 708 | Sunrise Realty Trust Inc US8679811021 | 73 | 14,5 M $ |
| 5 709 | Lucid Diagnostics Inc US54948X1090 | 73 | 13,5 M $ |
| 5 710 | Bally's Corp US05875B3042 | 73 | 13,2 M $ |
| 5 711 | Neuronetics Inc US64131A1051 | 73 | 9 M $ |
| 5 712 | Skillsoft Corp US83066P3091 | 73 | 4 M $ |
| 5 713 | OEM International AB SE0017766843 | 72 | 4,7 Md $ |
| 5 714 | Ambu A/S DK0060946788 | 72 | 740,1 M $ |
| 5 715 | SES SA LU0088087324 | 72 | 489,5 M $ |
| 5 716 | Cembra Money Bank AG CH0225173167 | 72 | 403,3 M $ |
| 5 717 | Inficon Holding AG CH1431598916 | 72 | 377,5 M $ |
| 5 718 | Simplo Technology Co Ltd TW0006121007 | 72 | 363 M $ |
| 5 719 | Paragon Banking Group PLC GB00B2NGPM57 | 72 | 334,6 M $ |
| 5 720 | Gibson Energy Inc CA3748252069 | 72 | 320,2 M $ |
| 5 721 | Sunrise Communications AG CH1386220409 | 72 | 303,7 M $ |
| 5 722 | Momentum Group Ltd ZAE000269890 | 72 | 296,7 M $ |
| 5 723 | AVI Ltd ZAE000049433 | 72 | 296,2 M $ |
| 5 724 | Neptune Insurance Holdings Inc US64073B1035 | 72 | 288,6 M $ |
| 5 725 | Fuso Chemical Co Ltd JP3822600007 | 72 | 259,4 M $ |
| 5 726 | Travis Perkins PLC GB00BK9RKT01 | 72 | 257,2 M $ |
| 5 727 | Taseko Mines Ltd CA8765111064 | 72 | 250,8 M $ |
| 5 728 | Norwegian Air Shuttle ASA NO0010196140 | 72 | 249,7 M $ |
| 5 729 | ARE Holdings Inc JP3116700000 | 72 | 236,9 M $ |
| 5 730 | Tate & Lyle PLC GB00BP92CJ43 | 72 | 231,5 M $ |
| 5 731 | Visional Inc JP3800270005 | 72 | 229,2 M $ |
| 5 732 | AMP Ltd AU000000AMP6 | 72 | 219,7 M $ |
| 5 733 | Fielmann Group AG DE0005772206 | 72 | 204,1 M $ |
| 5 734 | 4imprint Group PLC GB0006640972 | 72 | 201,8 M $ |
| 5 735 | Suzhou Dongshan Precision Manufacturing Co Ltd CNE100000N79 | 72 | 200,6 M $ |
| 5 736 | Remegen Co Ltd CNE1000048G6 | 72 | 199,8 M $ |
| 5 737 | Nebras Energy QA0006929812 | 72 | 189,4 M $ |
| 5 738 | Hazama Ando Corp JP3767810009 | 72 | 188,5 M $ |
| 5 739 | Webuild SpA IT0003865570 | 72 | 170,1 M $ |
| 5 740 | Shennan Circuits Co Ltd CNE100003373 | 72 | 168,7 M $ |
| 5 741 | Maruichi Steel Tube Ltd JP3871200006 | 72 | 160,4 M $ |
| 5 742 | New World Development Co Ltd HK0000608585 | 72 | 144,6 M $ |
| 5 743 | Kanamoto Co Ltd JP3215200001 | 72 | 135,6 M $ |
| 5 744 | Aier Eye Hospital Group Co Ltd CNE100000GR6 | 72 | 133,8 M $ |
| 5 745 | Luk Fook Holdings International Ltd BMG5695X1258 | 72 | 117,2 M $ |
| 5 746 | iQIYI Inc US46267X1081 | 72 | 113,9 M $ |
| 5 747 | Rakus Co Ltd JP3967170006 | 72 | 113,7 M $ |
| 5 748 | Arcadyan Technology Corp TW0003596003 | 72 | 112,6 M $ |
| 5 749 | Friedrich Vorwerk Group SE DE000A255F11 | 72 | 101,9 M $ |
| 5 750 | Unisplendour Corp Ltd CNE0000010T1 | 72 | 90,1 M $ |
| 5 751 | Life Corp JP3966600003 | 72 | 79 M $ |
| 5 752 | Henan Shuanghui Investment & Development Co Ltd CNE000000XM3 | 72 | 78,8 M $ |
| 5 753 | Shanghai Rural Commercial Bank Co Ltd CNE100004QD7 | 72 | 63,8 M $ |
| 5 754 | Huadong Medicine Co Ltd CNE0000011S1 | 72 | 60 M $ |
| 5 755 | TaskUS Inc US87652V1098 | 72 | 21,7 M $ |
| 5 756 | Sanara Medtech Inc US79957L1008 | 72 | 7,5 M $ |
| 5 757 | Clipper Realty Inc US18885T3068 | 72 | 6,2 M $ |
| 5 758 | Indian Bank INE562A01011 | 71 | 4,6 Md $ |
| 5 759 | Bank of India INE084A01016 | 71 | 4,1 Md $ |
| 5 760 | Ambev SA US02319V1035 | 71 | 1,4 Md $ |
| 5 761 | Hexatronic Group AB SE0018040677 | 71 | 908,7 M $ |
| 5 762 | Tenaris SA US88031M1099 | 71 | 768 M $ |
| 5 763 | Treasury Wine Estates Ltd AU000000TWE9 | 71 | 533,9 M $ |
| 5 764 | True Corp PCL THB231010R11 | 71 | 467,7 M $ |
| 5 765 | Kinaxis Inc CA49448Q1090 | 71 | 395,5 M $ |
| 5 766 | Mobimo Holding AG CH0011108872 | 71 | 385,5 M $ |
| 5 767 | Skylark Holdings Co Ltd JP3396210001 | 71 | 329,7 M $ |
| 5 768 | Helios Towers PLC GB00BJVQC708 | 71 | 322,4 M $ |
| 5 769 | Sinfonia Technology Co Ltd JP3375400003 | 71 | 319,7 M $ |
| 5 770 | Atco Ltd/Canada CA0467894006 | 71 | 297,4 M $ |
| 5 771 | Golden Agri-Resources Ltd MU0117U00026 | 71 | 283,7 M $ |
| 5 772 | Kintetsu Group Holdings Co Ltd JP3260800002 | 71 | 279,4 M $ |
| 5 773 | Jenoptik AG DE000A2NB601 | 71 | 276,2 M $ |
| 5 774 | VSTECS Holdings Ltd KYG9400C1116 | 71 | 263,1 M $ |
| 5 775 | Shibaura Mechatronics Corp JP3355000005 | 71 | 252,9 M $ |
| 5 776 | ADNOC Logistics & Services AEE01268A239 | 71 | 248,8 M $ |
| 5 777 | Nextage Co Ltd JP3758210003 | 71 | 246,4 M $ |
| 5 778 | Tokuyama Corp JP3625000009 | 71 | 245,1 M $ |
| 5 779 | Coface SA FR0010667147 | 71 | 244,5 M $ |
| 5 780 | Odakyu Electric Railway Co Ltd JP3196000008 | 71 | 219,1 M $ |
| 5 781 | Youngone Corp KR7111770004 | 71 | 204,9 M $ |
| 5 782 | Hyundai Marine & Fire Insurance Co Ltd KR7001450006 | 71 | 204 M $ |
| 5 783 | Anker Innovations Technology Co Ltd CNE1000047B9 | 71 | 191,5 M $ |
| 5 784 | Nipro Corp JP3673600007 | 71 | 181,5 M $ |
| 5 785 | Fugro NV NL00150003E1 | 71 | 178,5 M $ |
| 5 786 | Activia Properties Inc JP3047490002 | 71 | 165,1 M $ |
| 5 787 | Beach Energy Ltd AU000000BPT9 | 71 | 165,1 M $ |
| 5 788 | Smoore International Holdings Ltd KYG8245V1023 | 71 | 158,3 M $ |
| 5 789 | Piotech Inc CNE100005998 | 71 | 156,8 M $ |
| 5 790 | Umios Corp JP3876600002 | 71 | 152,9 M $ |
| 5 791 | EBOS Group Ltd NZEBOE0001S6 | 71 | 150,4 M $ |
| 5 792 | Nippon Soda Co Ltd JP3726200003 | 71 | 145,4 M $ |
| 5 793 | H.U. Group Holdings Inc JP3822000000 | 71 | 137,9 M $ |
| 5 794 | Keihan Holdings Co Ltd JP3279400000 | 71 | 136,7 M $ |
| 5 795 | GrainCorp Ltd AU000000GNC9 | 71 | 132,8 M $ |
| 5 796 | MFE-MediaForEurope NV NL0015001OI1 | 71 | 127,5 M $ |
| 5 797 | MONY Group PLC GB00B1ZBKY84 | 71 | 122,7 M $ |
| 5 798 | Megmilk Snow Brand Co Ltd JP3947800003 | 71 | 117 M $ |
| 5 799 | Fuji Seal International Inc JP3813800004 | 71 | 99,7 M $ |
| 5 800 | Sesa SpA IT0004729759 | 71 | 95,2 M $ |