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 |
|---|---|---|---|
| 6 101 | Hangzhou Tigermed Consulting Co Ltd CNE100001KV8 | 65 | 135,7 M $ |
| 6 102 | KCC Corp KR7002380004 | 65 | 134,3 M $ |
| 6 103 | OKUMA Corp JP3172100004 | 65 | 130,9 M $ |
| 6 104 | BW Offshore Ltd BMG1738J1247 | 65 | 128,1 M $ |
| 6 105 | Mercialys SA FR0010241638 | 65 | 126,5 M $ |
| 6 106 | Musashi Seimitsu Industry Co Ltd JP3912700006 | 65 | 124,5 M $ |
| 6 107 | Primax Electronics Ltd TW0004915004 | 65 | 122,7 M $ |
| 6 108 | Carmila SA FR0010828137 | 65 | 121,6 M $ |
| 6 109 | TBEA Co Ltd CNE000000RB8 | 65 | 113,6 M $ |
| 6 110 | CJ CheilJedang Corp KR7097950000 | 65 | 108,8 M $ |
| 6 111 | Semapa-Sociedade de Investimento e Gestao PTSEM0AM0004 | 65 | 105,4 M $ |
| 6 112 | Nippn Corp JP3723000000 | 65 | 98,4 M $ |
| 6 113 | TPG Telecom Ltd AU0000090128 | 65 | 96,5 M $ |
| 6 114 | GF Securities Co Ltd CNE0000008L2 | 65 | 94,6 M $ |
| 6 115 | Yunnan Yuntianhua Co Ltd CNE000000S01 | 65 | 94,1 M $ |
| 6 116 | Inner Mongolia BaoTou Steel Union Co Ltd CNE0000017H1 | 65 | 89,9 M $ |
| 6 117 | House Foods Group Inc JP3765400001 | 65 | 88,6 M $ |
| 6 118 | Sanlorenzo SpA/Ameglia IT0003549422 | 65 | 86,3 M $ |
| 6 119 | Metropole Television SA FR0000053225 | 65 | 82,3 M $ |
| 6 120 | Anadolu Efes Biracilik Ve Malt Sanayii AS TRAAEFES91A9 | 65 | 77,7 M $ |
| 6 121 | Unigroup Guoxin Microelectronics Co Ltd CNE000001M14 | 65 | 68,1 M $ |
| 6 122 | Prosegur Cash SA ES0105229001 | 65 | 65,6 M $ |
| 6 123 | Shanghai Baosight Software Co Ltd CNE000000C66 | 65 | 44,6 M $ |
| 6 124 | Wingtech Technology Co Ltd CNE000000M72 | 65 | 43,4 M $ |
| 6 125 | Tvardi Therapeutics Inc US1407553072 | 65 | 2,6 M $ |
| 6 126 | GoHealth Inc US38046W2044 | 65 | 1,1 M $ |
| 6 127 | Thermax Ltd INE152A01029 | 64 | 29,8 Md $ |
| 6 128 | NOBA Bank Group AB SE0023135298 | 64 | 2,3 Md $ |
| 6 129 | Logistea AB SE0017131337 | 64 | 1,1 Md $ |
| 6 130 | Cruzeiro do Sul Educacional SA BRCSEDACNOR9 | 64 | 982,5 M $ |
| 6 131 | Amber Enterprises India Ltd INE371P01015 | 64 | 927,6 M $ |
| 6 132 | Puuilo Oyj FI4000507124 | 64 | 866,8 M $ |
| 6 133 | Harmony Gold Mining Co Ltd US4132163001 | 64 | 687,9 M $ |
| 6 134 | Krung Thai Bank PCL TH0150010Z11 | 64 | 612,6 M $ |
| 6 135 | Redington Ltd INE891D01026 | 64 | 569,7 M $ |
| 6 136 | Viaplay Group AB SE0012116390 | 64 | 502,7 M $ |
| 6 137 | Jiangsu Hengrui Pharmaceuticals Co Ltd CNE100006XS6 | 64 | 337,9 M $ |
| 6 138 | Piper Sandler Cos US7240781002 | 64 | 332,6 M $ |
| 6 139 | CP ALL PCL TH0737010R15 | 64 | 315,7 M $ |
| 6 140 | dormakaba Holding AG CH1486524122 | 64 | 284,3 M $ |
| 6 141 | Premium Brands Holdings Corp CA74061A1084 | 64 | 255 M $ |
| 6 142 | Consun Pharmaceutical Group Ltd KYG2524A1031 | 64 | 245,2 M $ |
| 6 143 | NongShim Co Ltd KR7004370003 | 64 | 219,4 M $ |
| 6 144 | Eagers Automotive Ltd AU000000APE3 | 64 | 202,3 M $ |
| 6 145 | DiaSorin SpA IT0003492391 | 64 | 180,4 M $ |
| 6 146 | Nagoya Railroad Co Ltd JP3649800004 | 64 | 179,7 M $ |
| 6 147 | Micro-Star International Co Ltd TW0002377009 | 64 | 175,8 M $ |
| 6 148 | Imerys SA FR0000120859 | 64 | 162 M $ |
| 6 149 | Dai-Dan Co Ltd JP3486000007 | 64 | 155,7 M $ |
| 6 150 | Chambal Fertilisers and Chemicals Ltd INE085A01013 | 64 | 145,7 M $ |
| 6 151 | Fufeng Group Ltd KYG368441195 | 64 | 141,9 M $ |
| 6 152 | Interroll Holding AG CH0006372897 | 64 | 130,6 M $ |
| 6 153 | EDION Corp JP3164470001 | 64 | 129,7 M $ |
| 6 154 | Japan Material Co Ltd JP3389680004 | 64 | 129,3 M $ |
| 6 155 | Takara Holdings Inc JP3459600007 | 64 | 128 M $ |
| 6 156 | Eurocommercial Properties NV NL0015000K93 | 64 | 125,3 M $ |
| 6 157 | China United Network Communications Ltd CNE000001CS2 | 64 | 123,2 M $ |
| 6 158 | E-MART Inc KR7139480008 | 64 | 113,5 M $ |
| 6 159 | BGF retail Co Ltd KR7282330000 | 64 | 104,5 M $ |
| 6 160 | STONE CO DRN BRSTOCBDR024 | 64 | 103,3 M $ |
| 6 161 | Tomy Co Ltd JP3630550006 | 64 | 101,9 M $ |
| 6 162 | Hyundai Department Store Co Ltd KR7069960003 | 64 | 99,8 M $ |
| 6 163 | Nichicon Corp JP3661800007 | 64 | 98,7 M $ |
| 6 164 | Seven Bank Ltd JP3105220002 | 64 | 89 M $ |
| 6 165 | Kusuri no Aoki Holdings Co Ltd JP3266190002 | 64 | 88,5 M $ |
| 6 166 | Kuang-Chi Technologies Co Ltd CNE1000018P0 | 64 | 87,1 M $ |
| 6 167 | Mersen SA FR0000039620 | 64 | 85,6 M $ |
| 6 168 | Shenwan Hongyuan Group Co Ltd CNE100002FD4 | 64 | 78,2 M $ |
| 6 169 | Netmarble Corp KR7251270005 | 64 | 74,8 M $ |
| 6 170 | Scandinavian Tobacco Group A/S DK0060696300 | 64 | 74,5 M $ |
| 6 171 | HBX Group International PLC GB00BNXJB679 | 64 | 72,9 M $ |
| 6 172 | Power Construction Corp of China Ltd CNE1000017G1 | 64 | 70 M $ |
| 6 173 | Komeri Co Ltd JP3305600003 | 64 | 65,6 M $ |
| 6 174 | Sharp Corp/Japan JP3359600008 | 64 | 62,7 M $ |
| 6 175 | FP Corp JP3167000003 | 64 | 57,3 M $ |
| 6 176 | Wacom Co Ltd JP3993400005 | 64 | 54,2 M $ |
| 6 177 | Huizhou Desay Sv Automotive Co Ltd CNE1000033C7 | 64 | 48,5 M $ |
| 6 178 | InfuSystem Holdings Inc US45685K1025 | 64 | 36,2 M $ |
| 6 179 | Hooker Furnishings Corp US4390381006 | 64 | 33,4 M $ |
| 6 180 | Black Diamond Therapeutics Inc US09203E1055 | 64 | 27,7 M $ |
| 6 181 | Prairie Operating Co US7396501097 | 64 | 8,6 M $ |
| 6 182 | BARK Inc US68622E1047 | 64 | 6,7 M $ |
| 6 183 | Fidelity Investment Trust US3159101258 | 63 | 22 Md $ |
| 6 184 | Fidelity Hastings Street Trust US31617F8335 | 63 | 20,5 Md $ |
| 6 185 | Fidelity Investment Trust US31618H7706 | 63 | 15,7 Md $ |
| 6 186 | Fidelity Investment Trust US31618H1766 | 63 | 15,5 Md $ |
| 6 187 | Fidelity Investment Trust US31618H7219 | 63 | 15,3 Md $ |
| 6 188 | Fidelity Devonshire Trust US3161285867 | 63 | 12,5 Md $ |
| 6 189 | Fidelity Salem Street Trust US31635V4068 | 63 | 9,1 Md $ |
| 6 190 | Fidelity Investment Trust US31618H3580 | 63 | 8,8 Md $ |
| 6 191 | Fidelity Investment Trust US31618H3416 | 63 | 5,6 Md $ |
| 6 192 | Fidelity Securities Fund US3163896919 | 63 | 3,8 Md $ |
| 6 193 | Fidelity Investment Trust US31618H7623 | 63 | 2,5 Md $ |
| 6 194 | Container Corp Of India Ltd INE111A01025 | 63 | 2,4 Md $ |
| 6 195 | Ascendis Pharma A/S DK0060615755 | 63 | 1,3 Md $ |
| 6 196 | Fidelity Concord Street Trust US3159114798 | 63 | 1,3 Md $ |
| 6 197 | Endeavour Silver Corp CA29258Y1034 | 63 | 961,8 M $ |
| 6 198 | BHP Group Ltd US0886061086 | 63 | 901,2 M $ |
| 6 199 | FastPartner AB SE0013512506 | 63 | 575,3 M $ |
| 6 200 | CVS Group PLC GB00B2863827 | 63 | 539,4 M $ |