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 |
|---|---|---|---|
| 7 601 | Daewoo Engineering & Construction Co Ltd KR7047040001 | 45 | 593 M $ |
| 7 602 | Sam Chun Dang Pharm Co Ltd KR7000250001 | 45 | 439,7 M $ |
| 7 603 | Central Pattana PCL TH0481B10Z18 | 45 | 390,3 M $ |
| 7 604 | IIFL Finance Ltd INE530B01024 | 45 | 345,1 M $ |
| 7 605 | HAL Trust BMG455841020 | 45 | 276,9 M $ |
| 7 606 | Peptron Inc KR7087010005 | 45 | 244,5 M $ |
| 7 607 | BIOMM ON N2 BRBIOMACNOR2 | 45 | 242,6 M $ |
| 7 608 | Telix Pharmaceuticals Ltd AU000000TLX2 | 45 | 222,6 M $ |
| 7 609 | Xinyi Energy Holdings Ltd VGG9833A1049 | 45 | 190,5 M $ |
| 7 610 | Metsa Board Oyj FI0009000665 | 45 | 177,6 M $ |
| 7 611 | St Galler Kantonalbank AG CH0011484067 | 45 | 173,3 M $ |
| 7 612 | Doosan Fuel Cell Co Ltd KR7336260005 | 45 | 171,2 M $ |
| 7 613 | Amara Raja Energy & Mobility Ltd INE885A01032 | 45 | 170,1 M $ |
| 7 614 | Supermarket Income Reit PLC GB00BF345X11 | 45 | 153,8 M $ |
| 7 615 | Wipro Ltd US97651M1099 | 45 | 150,8 M $ |
| 7 616 | Daihen Corp JP3497800007 | 45 | 135,4 M $ |
| 7 617 | TIME dotCom Bhd MYL5031OO009 | 45 | 135,1 M $ |
| 7 618 | Meitav Investment House Ltd IL0010818438 | 45 | 123,7 M $ |
| 7 619 | Megaport Ltd AU000000MP15 | 45 | 120,7 M $ |
| 7 620 | Chorus Ltd NZCNUE0001S2 | 45 | 119,7 M $ |
| 7 621 | Jubilant Pharmova Ltd INE700A01033 | 45 | 118,9 M $ |
| 7 622 | Pattern Group Inc US70339W1045 | 45 | 118 M $ |
| 7 623 | Orron Energy ab SE0000825820 | 45 | 117,2 M $ |
| 7 624 | Capitaland India Trust SG1V35936920 | 45 | 112,9 M $ |
| 7 625 | Fidelity School Street Trust US31638R7254 | 45 | 112,3 M $ |
| 7 626 | Yamaichi Electronics Co Ltd JP3934200001 | 45 | 111,6 M $ |
| 7 627 | Unusual Machines Inc /US US91532F1021 | 45 | 110,7 M $ |
| 7 628 | Saudi Industrial Investment Group SA000A0B89Q3 | 45 | 107,8 M $ |
| 7 629 | Byggmax Group AB SE0003303627 | 45 | 106,4 M $ |
| 7 630 | Jammu & Kashmir Bank Ltd/The INE168A01041 | 45 | 105,2 M $ |
| 7 631 | Poly Property Services Co Ltd CNE100003PV3 | 45 | 101,5 M $ |
| 7 632 | Taiwan Secom Co Ltd TW0009917005 | 45 | 101,3 M $ |
| 7 633 | Intellect Design Arena Ltd INE306R01017 | 45 | 100,9 M $ |
| 7 634 | Nippon Seiki Co Ltd JP3720600000 | 45 | 100,4 M $ |
| 7 635 | Huaku Development Co Ltd TW0002548005 | 45 | 100,3 M $ |
| 7 636 | LightPath Technologies Inc US5322578056 | 45 | 98,6 M $ |
| 7 637 | Getac Holdings Corp TW0003005005 | 45 | 98,3 M $ |
| 7 638 | TX Group AG CH0011178255 | 45 | 91,5 M $ |
| 7 639 | CIE Automotive India Ltd INE536H01010 | 45 | 91,3 M $ |
| 7 640 | Ennoconn Corp TW0006414006 | 45 | 89,3 M $ |
| 7 641 | JK Tyre & Industries Ltd INE573A01042 | 45 | 89,2 M $ |
| 7 642 | NTT UD REIT Investment Corp JP3041770003 | 45 | 87,1 M $ |
| 7 643 | Westshore Terminals Investment Corp CA96145A2002 | 45 | 82,2 M $ |
| 7 644 | Kissei Pharmaceutical Co Ltd JP3240600001 | 45 | 81,7 M $ |
| 7 645 | Mitsubishi Estate Logistics REIT Investment Corp JP3048480002 | 45 | 79,6 M $ |
| 7 646 | Al Ahli Bank of Kuwait KSCP KW0EQ0100044 | 45 | 78,7 M $ |
| 7 647 | Superior Plus Corp CA86828P1036 | 45 | 78,7 M $ |
| 7 648 | Create Restaurants Holdings Inc JP3269930008 | 45 | 74,8 M $ |
| 7 649 | Greentown Service Group Co Ltd KYG410121084 | 45 | 74 M $ |
| 7 650 | NIPPON REIT Investment Corp JP3047750009 | 45 | 73,8 M $ |
| 7 651 | Lendlease Global Commercial REIT SGXC61949712 | 45 | 71,8 M $ |
| 7 652 | Obara Group Inc JP3197650009 | 45 | 68,5 M $ |
| 7 653 | Flat Glass Group Co Ltd CNE100002375 | 45 | 67,3 M $ |
| 7 654 | Nick Scali Ltd AU000000NCK1 | 45 | 66,3 M $ |
| 7 655 | Pixart Imaging Inc TW0003227005 | 45 | 65,9 M $ |
| 7 656 | Feng Hsin Steel Co Ltd TW0002015005 | 45 | 65 M $ |
| 7 657 | MNTN Inc US55318A1088 | 45 | 63,5 M $ |
| 7 658 | Ashtrom Group Ltd IL0011323156 | 45 | 63,3 M $ |
| 7 659 | Press Kogyo Co Ltd JP3833600004 | 45 | 62,4 M $ |
| 7 660 | Seazen Group Ltd KYG7956A1094 | 45 | 60,4 M $ |
| 7 661 | Extendicare Inc CA30224T8639 | 45 | 60,3 M $ |
| 7 662 | China Tungsten And Hightech Materials Co Ltd CNE0000006M4 | 45 | 58,5 M $ |
| 7 663 | Aussie Broadband Ltd AU0000106643 | 45 | 57,3 M $ |
| 7 664 | Cirsa Enterprises SA ES0105884011 | 45 | 54,7 M $ |
| 7 665 | United International Transportation Co SA000A0MWH44 | 45 | 54,6 M $ |
| 7 666 | Infomart Corp JP3153480003 | 45 | 52,8 M $ |
| 7 667 | Nishimatsuya Chain Co Ltd JP3659300002 | 45 | 50 M $ |
| 7 668 | Hainan Airport Infrastructure Co Ltd CNE000001C32 | 45 | 48,7 M $ |
| 7 669 | CECONOMY AG DE000A40ZVV0 | 45 | 48,6 M $ |
| 7 670 | CNPC Capital Co Ltd CNE000000MS3 | 45 | 46,4 M $ |
| 7 671 | Q Technology Group Co Ltd KYG7306T1058 | 45 | 44,9 M $ |
| 7 672 | Kumho Tire Co Inc KR7073240004 | 45 | 42,7 M $ |
| 7 673 | MOS Food Services Inc JP3922400001 | 45 | 41,6 M $ |
| 7 674 | Aegean Airlines SA GRS495003006 | 45 | 40,5 M $ |
| 7 675 | Pakuwon Jati Tbk PT ID1000122500 | 45 | 38,9 M $ |
| 7 676 | G-Tekt Corp JP3236750000 | 45 | 34,9 M $ |
| 7 677 | Shin Nippon Air Technologies Co Ltd JP3380250005 | 45 | 34,1 M $ |
| 7 678 | Iriso Electronics Co Ltd JP3149800009 | 45 | 33,3 M $ |
| 7 679 | Kelsian Group Ltd AU0000186678 | 45 | 33 M $ |
| 7 680 | Kingfa Sci & Tech Co Ltd CNE000001JP3 | 45 | 32 M $ |
| 7 681 | Sligro Food Group NV NL0000817179 | 45 | 31 M $ |
| 7 682 | Enghouse Systems Ltd CA2929491041 | 45 | 29,8 M $ |
| 7 683 | Marshalls PLC GB00B012BV22 | 45 | 29,7 M $ |
| 7 684 | Vetropack Holding AG CH0530235594 | 45 | 29,2 M $ |
| 7 685 | Konishi Co Ltd JP3300800004 | 45 | 29,1 M $ |
| 7 686 | Jalles Machado SA BRJALLACNOR0 | 45 | 26,5 M $ |
| 7 687 | ZERIA Pharmaceutical Co Ltd JP3428850006 | 45 | 25,1 M $ |
| 7 688 | Taylor Devices Inc US8771631053 | 45 | 24,1 M $ |
| 7 689 | HIS Co Ltd JP3160740001 | 45 | 23,6 M $ |
| 7 690 | Crest Nicholson Holdings plc GB00B8VZXT93 | 45 | 23,4 M $ |
| 7 691 | Guangzhou Baiyunshan Pharmaceutical Holdings Co Ltd CNE000001733 | 45 | 23,4 M $ |
| 7 692 | DyDo Group Holdings Inc JP3488400007 | 45 | 20,4 M $ |
| 7 693 | eDreams ODIGEO SA LU1048328220 | 45 | 16 M $ |
| 7 694 | Fila SpA IT0004967292 | 45 | 13,3 M $ |
| 7 695 | Canada Packers Inc CA1351801073 | 45 | 13,3 M $ |
| 7 696 | GAFISA ON NM BRGFSAACNOR3 | 45 | 6,5 M $ |
| 7 697 | PDL BIOPHARMA INC US69329Y1047 | 45 | 2,6 M $ |
| 7 698 | Verde Clean Fuels Inc US9233721060 | 45 | 642,1 k $ |
| 7 699 | CESC Ltd INE486A01021 | 44 | 17,1 Md $ |
| 7 700 | iShares Trust US4642874402 | 44 | 2,1 Md $ |