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 |
|---|---|---|---|
| 7 401 | Dialog Group Bhd MYL7277OO006 | 47 | 124,6 M $ |
| 7 402 | JYP Entertainment Corp KR7035900000 | 47 | 122,8 M $ |
| 7 403 | Cyient Ltd INE136B01020 | 47 | 121,2 M $ |
| 7 404 | Shihlin Electric & Engineering Corp TW0001503001 | 47 | 120,7 M $ |
| 7 405 | Damai Entertainment Holdings Ltd BMG0171W1055 | 47 | 115,5 M $ |
| 7 406 | 5N Plus Inc CA33833X1015 | 47 | 115,1 M $ |
| 7 407 | Osaka Soda Co Ltd JP3485900009 | 47 | 106,2 M $ |
| 7 408 | Alpek SAB de CV MX01AL0C0004 | 47 | 106 M $ |
| 7 409 | Superloop Ltd AU000000SLC8 | 47 | 102,4 M $ |
| 7 410 | Robinsons Land Corp PHY731961264 | 47 | 101,6 M $ |
| 7 411 | Gimv NV BE0003699130 | 47 | 100,4 M $ |
| 7 412 | Dongjin Semichem Co Ltd KR7005290002 | 47 | 93,5 M $ |
| 7 413 | Chiyoda Corp JP3528600004 | 47 | 93,5 M $ |
| 7 414 | Mori Trust Reit Inc JP3046170001 | 47 | 89,1 M $ |
| 7 415 | Sinotrans Ltd CNE1000004F1 | 47 | 87,5 M $ |
| 7 416 | Kaken Pharmaceutical Co Ltd JP3207000005 | 47 | 82,8 M $ |
| 7 417 | Israel Canada T.R Ltd IL0004340191 | 47 | 81,6 M $ |
| 7 418 | United Energy Group Ltd BMG9231L1081 | 47 | 78,4 M $ |
| 7 419 | Eolus AB SE0007075056 | 47 | 77,1 M $ |
| 7 420 | Dongfang Electric Corp Ltd CNE000000J28 | 47 | 74,6 M $ |
| 7 421 | Retail Estates NV BE0003720340 | 47 | 71,3 M $ |
| 7 422 | Hyosung TNC Corp KR7298020009 | 47 | 68,3 M $ |
| 7 423 | Saudia Dairy & Foodstuff Co SA000A0EAXM3 | 47 | 66,2 M $ |
| 7 424 | Celltrion Pharm Inc KR7068760008 | 47 | 65,7 M $ |
| 7 425 | Klarna Group PLC GB00BMHVL512 | 47 | 61,2 M $ |
| 7 426 | Autoneum Holding AG CH0127480363 | 47 | 60,8 M $ |
| 7 427 | Dongsuh Cos Inc KR7026960005 | 47 | 54,9 M $ |
| 7 428 | Elopak ASA NO0011002586 | 47 | 54,6 M $ |
| 7 429 | Macmahon Holdings Ltd AU000000MAH3 | 47 | 52,9 M $ |
| 7 430 | Converge Information and Communications Technology Solutions Inc PHY1757W1054 | 47 | 52,7 M $ |
| 7 431 | West Holdings Corp JP3154750008 | 47 | 52,5 M $ |
| 7 432 | Workspace Group PLC GB00B67G5X01 | 47 | 49,4 M $ |
| 7 433 | Pharming Group NV NL0010391025 | 47 | 47,8 M $ |
| 7 434 | Credit Corp Group Ltd AU000000CCP3 | 47 | 44,2 M $ |
| 7 435 | CMC Markets PLC GB00B14SKR37 | 47 | 44,2 M $ |
| 7 436 | Uchida Yoko Co Ltd JP3157200001 | 47 | 43 M $ |
| 7 437 | Mota-Engil SGPS SA PTMEN0AE0005 | 47 | 42,9 M $ |
| 7 438 | Empyrean Technology Co Ltd CNE100005GY1 | 47 | 42,1 M $ |
| 7 439 | First Tracks Biotherapeutics Inc US3371851029 | 47 | 41,8 M $ |
| 7 440 | Hainan Airlines Holding Co Ltd CNE0000011C5 | 47 | 40,7 M $ |
| 7 441 | Worldline SA/France FR0011981968 | 47 | 37,8 M $ |
| 7 442 | Seegene Inc KR7096530001 | 47 | 37,7 M $ |
| 7 443 | Metallurgical Corp of China Ltd CNE100000FX6 | 47 | 34,4 M $ |
| 7 444 | Ampco-Pittsburgh Corp US0320371034 | 47 | 33,9 M $ |
| 7 445 | Zhejiang Century Huatong Group Co Ltd CNE1000015R2 | 47 | 33,6 M $ |
| 7 446 | Shenzhen Goodix Technology Co Ltd CNE100002G84 | 47 | 33,5 M $ |
| 7 447 | Wolong Electric Group Co Ltd CNE000001BJ3 | 47 | 33,4 M $ |
| 7 448 | LUKOIL PJSC RU0009024277 | 47 | 30 M $ |
| 7 449 | NewPrinces SpA IT0005385213 | 47 | 29,8 M $ |
| 7 450 | Angel Yeast Co Ltd CNE0000014G0 | 47 | 28,7 M $ |
| 7 451 | SMARTRENT INC US83193G1076 | 47 | 28,2 M $ |
| 7 452 | Tsuburaya Fields Holdings Inc JP3802680003 | 47 | 27,8 M $ |
| 7 453 | Hoshine Silicon Industry Co Ltd CNE100002V10 | 47 | 27,5 M $ |
| 7 454 | Shenergy Co Ltd CNE0000005Q7 | 47 | 25,8 M $ |
| 7 455 | HBR REALTY ON NM BRHBREACNOR4 | 47 | 25,7 M $ |
| 7 456 | Daikyonishikawa Corp JP3481300006 | 47 | 25,4 M $ |
| 7 457 | Belluna Co Ltd JP3835650007 | 47 | 22,7 M $ |
| 7 458 | Bank of Suzhou Co Ltd CNE100003LQ2 | 47 | 22,6 M $ |
| 7 459 | SmarTone Telecommunications Holdings Ltd BMG8219Z1059 | 47 | 19,7 M $ |
| 7 460 | Bapcor Ltd AU000000BAP9 | 47 | 17,7 M $ |
| 7 461 | Yonghui Superstores Co Ltd CNE100000XX9 | 47 | 16,6 M $ |
| 7 462 | Allied Tecnologia SA BRALLDACNOR3 | 47 | 15,6 M $ |
| 7 463 | Kewaunee Scientific Corp US4928541048 | 47 | 15,5 M $ |
| 7 464 | Caribou Biosciences Inc US1420381089 | 47 | 14,3 M $ |
| 7 465 | Universal Electronics Inc US9134831034 | 47 | 9,4 M $ |
| 7 466 | Unifi Inc US9046772003 | 47 | 6,9 M $ |
| 7 467 | NEFTYANAYA KOMPANIYA ROSNEFT' PAO RU000A0J2Q06 | 47 | 5,9 k $ |
| 7 468 | TRP VALUE FD-Z US7795784005 | 46 | 25,2 Md $ |
| 7 469 | TRP GROWTH STOCK FD-Z US77958E2081 | 46 | 22,3 Md $ |
| 7 470 | TRP INTL VALUE EQUITY FD-Z US87281D8276 | 46 | 13,8 Md $ |
| 7 471 | Elgi Equipments Ltd INE285A01027 | 46 | 11 Md $ |
| 7 472 | TRP INTL STOCK FD-Z US87281D8433 | 46 | 10,1 Md $ |
| 7 473 | TRP INTL BOND FD (USD HEDGED)-Z US87281D8508 | 46 | 6 Md $ |
| 7 474 | Paradeep Phosphates Ltd INE088F01024 | 46 | 5,4 Md $ |
| 7 475 | TRP EM MKTS DISCOVERY STK FD-Z CL US87281D8847 | 46 | 5,2 Md $ |
| 7 476 | TRP MID-CAP VALUE FD-Z US77957Y5024 | 46 | 5 Md $ |
| 7 477 | TRP EMER MKTS STOCK FD-Z US87281D8763 | 46 | 4,7 Md $ |
| 7 478 | TRP MID-CAP GROWTH FD-Z US7795565057 | 46 | 4,5 Md $ |
| 7 479 | TRP US TREASURY LONG-TERM INDEX FD-Z US77957T7019 | 46 | 3,9 Md $ |
| 7 480 | TRP DYNAMIC GLOBAL BOND FD-Z US87281D7021 | 46 | 3,5 Md $ |
| 7 481 | TRP NEW HORIZONS FD-Z US7795623054 | 46 | 3 Md $ |
| 7 482 | TRP SMALL-CAP VALUE FD-Z US77957Q4001 | 46 | 2,9 Md $ |
| 7 483 | PVR Inox Ltd INE191H01014 | 46 | 1,8 Md $ |
| 7 484 | iShares Trust US4642875987 | 46 | 1,6 Md $ |
| 7 485 | SELECT SECTOR SPDR TRUST (THE) US81369Y8030 | 46 | 1,6 Md $ |
| 7 486 | Nestle SA US6410694060 | 46 | 1,3 Md $ |
| 7 487 | Gulf Development PCL THC903010013 | 46 | 955 M $ |
| 7 488 | Skeena Resources Ltd CA83056P7157 | 46 | 689,9 M $ |
| 7 489 | Ovzon AB SE0010948711 | 46 | 619,9 M $ |
| 7 490 | ASE Technology Holding Co Ltd US00215W1009 | 46 | 569,3 M $ |
| 7 491 | Renew Holdings PLC GB0005359004 | 46 | 537,8 M $ |
| 7 492 | Almonty Industries Inc CA0203987072 | 46 | 437,3 M $ |
| 7 493 | VZ Holding AG CH0528751586 | 46 | 428,5 M $ |
| 7 494 | Sanil Electric Co Ltd KR7062040001 | 46 | 416,8 M $ |
| 7 495 | Jungheinrich AG DE0006219934 | 46 | 288 M $ |
| 7 496 | TerraVest Industries Inc CA88105G1037 | 46 | 266,9 M $ |
| 7 497 | Zai Lab Ltd KYG9887T1168 | 46 | 260,9 M $ |
| 7 498 | Toyota Motor Corp US8923313071 | 46 | 255,9 M $ |
| 7 499 | EQB Inc CA26886R1047 | 46 | 253,5 M $ |
| 7 500 | Radware Ltd IL0010834765 | 46 | 236,3 M $ |