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 |
|---|---|---|---|
| 7 801 | Invesco Senior Loan ETF US46138G5080 | 43 | 648,8 M $ |
| 7 802 | Piramal Finance Ltd INE202B01038 | 43 | 388,6 M $ |
| 7 803 | RELX PLC US7595301083 | 43 | 336,9 M $ |
| 7 804 | Neway Valve Suzhou Co Ltd CNE100001SJ6 | 43 | 308,2 M $ |
| 7 805 | Yubico AB SE0015657788 | 43 | 290,2 M $ |
| 7 806 | Eastnine AB SE0022050183 | 43 | 273,9 M $ |
| 7 807 | Neuland Laboratories Ltd INE794A01010 | 43 | 232,3 M $ |
| 7 808 | TMBThanachart Bank PCL TH0068010Z15 | 43 | 223,8 M $ |
| 7 809 | Chipbond Technology Corp TW0006147002 | 43 | 218,6 M $ |
| 7 810 | Onesource Specialty Pharma Ltd INE013P01021 | 43 | 211,1 M $ |
| 7 811 | Chunghwa Telecom Co Ltd US17133Q5027 | 43 | 206,4 M $ |
| 7 812 | National Grid PLC US6362744095 | 43 | 201,8 M $ |
| 7 813 | Ramkrishna Forgings Ltd INE399G01023 | 43 | 166 M $ |
| 7 814 | Ping An Healthcare and Technology Co Ltd KYG711391022 | 43 | 157 M $ |
| 7 815 | Trustpilot Group PLC GB00BNK9TP58 | 43 | 147,1 M $ |
| 7 816 | Usha Martin Ltd INE228A01035 | 43 | 140,6 M $ |
| 7 817 | Kingsoft Cloud Holdings Ltd KYG5264S1012 | 43 | 136,9 M $ |
| 7 818 | Alony Hetz Properties & Investments Ltd IL0003900136 | 43 | 135,7 M $ |
| 7 819 | IRB Infrastructure Developers Ltd INE821I01022 | 43 | 133,1 M $ |
| 7 820 | HBL Engineering Ltd INE292B01021 | 43 | 132,7 M $ |
| 7 821 | Simcere Pharmaceutical Group Ltd HK0000658531 | 43 | 129,6 M $ |
| 7 822 | Kobayashi Pharmaceutical Co Ltd JP3301100008 | 43 | 123,7 M $ |
| 7 823 | Brilliance China Automotive Holdings Ltd BMG1368B1028 | 43 | 119,6 M $ |
| 7 824 | Canadian Solar Inc CA1366351098 | 43 | 114,9 M $ |
| 7 825 | Bonheur ASA NO0003110603 | 43 | 107,7 M $ |
| 7 826 | SM Entertainment Co Ltd KR7041510009 | 43 | 104,3 M $ |
| 7 827 | Godfrey Phillips India Ltd INE260B01028 | 43 | 103,4 M $ |
| 7 828 | Chennai Petroleum Corp Ltd INE178A01016 | 43 | 100,6 M $ |
| 7 829 | China Jinmao Holdings Group Ltd HK0817039453 | 43 | 98,3 M $ |
| 7 830 | Lightspeed Commerce Inc CA53229C1077 | 43 | 95,5 M $ |
| 7 831 | Time Interconnect Technology Ltd KYG8879R1048 | 43 | 94,7 M $ |
| 7 832 | CIMC Enric Holdings Ltd KYG2198S1093 | 43 | 94,3 M $ |
| 7 833 | Hulic Reit Inc JP3047660000 | 43 | 94,1 M $ |
| 7 834 | Indo Tambangraya Megah Tbk PT ID1000108509 | 43 | 87,3 M $ |
| 7 835 | Adaro Andalan Indonesia PT ID1000207509 | 43 | 85,8 M $ |
| 7 836 | Mullen Group Ltd CA6252841045 | 43 | 81,4 M $ |
| 7 837 | VA Tech Wabag Ltd INE956G01038 | 43 | 71,8 M $ |
| 7 838 | Basilea Pharmaceutica Ag Allschwil CH0011432447 | 43 | 70,7 M $ |
| 7 839 | Colowide Co Ltd JP3305970000 | 43 | 67,7 M $ |
| 7 840 | Laurentian Bank of Canada CA51925D1069 | 43 | 59,4 M $ |
| 7 841 | Tri Chemical Laboratories Inc JP3636000006 | 43 | 50,7 M $ |
| 7 842 | Tsukishima Holdings Co Ltd JP3532200007 | 43 | 50 M $ |
| 7 843 | Kamei Corp JP3219400003 | 43 | 46,1 M $ |
| 7 844 | Cascades Inc CA1469001053 | 43 | 45,5 M $ |
| 7 845 | GC Biopharma Corp KR7006280002 | 43 | 43,2 M $ |
| 7 846 | Cie Financiere Tradition SA CH0014345117 | 43 | 41,4 M $ |
| 7 847 | Smith Douglas Homes Corp US83207R1077 | 43 | 40,6 M $ |
| 7 848 | Fukuda Corp JP3805600008 | 43 | 39,4 M $ |
| 7 849 | CIR SpA-Compagnie Industriali IT0000070786 | 43 | 35,5 M $ |
| 7 850 | Trimegah Bangun Persada Tbk PT ID1000188006 | 43 | 34,3 M $ |
| 7 851 | Amtech Systems Inc US0323325045 | 43 | 32,6 M $ |
| 7 852 | LT Group Inc PHY5342M1000 | 43 | 32,4 M $ |
| 7 853 | CSU Digital SA BRCSUDACNOR5 | 43 | 32,4 M $ |
| 7 854 | Haisco Pharmaceutical Group Co Ltd CNE100001BC7 | 43 | 31,9 M $ |
| 7 855 | Shanghai Electric Power Co Ltd CNE000001G53 | 43 | 31,5 M $ |
| 7 856 | Yunnan Tin Co Ltd CNE0000011D3 | 43 | 31,5 M $ |
| 7 857 | GL Events SACA FR0000066672 | 43 | 30,8 M $ |
| 7 858 | Ferretti SpA IT0005383291 | 43 | 29,5 M $ |
| 7 859 | Hopson Development Holdings Ltd BMG4600H1198 | 43 | 29,1 M $ |
| 7 860 | Bystronic AG CH0244017502 | 43 | 28,4 M $ |
| 7 861 | MPM Corporeos SA BRESPAACNOR7 | 43 | 27,5 M $ |
| 7 862 | Warabeya Nichiyo Holdings Co Ltd JP3994400004 | 43 | 27,1 M $ |
| 7 863 | GFT Technologies SE DE0005800601 | 43 | 26,7 M $ |
| 7 864 | Perion Network Ltd IL0010958192 | 43 | 26,4 M $ |
| 7 865 | Leon's Furniture Ltd CA5266821092 | 43 | 25,7 M $ |
| 7 866 | Safilo Group SpA IT0004604762 | 43 | 25,6 M $ |
| 7 867 | Alto Ingredients Inc US0215131063 | 43 | 24,4 M $ |
| 7 868 | ES-Con Japan Ltd JP3688330004 | 43 | 20,8 M $ |
| 7 869 | Myer Holdings Ltd AU000000MYR2 | 43 | 19,7 M $ |
| 7 870 | Talgo SA ES0105065009 | 43 | 14,3 M $ |
| 7 871 | Romi SA/Brazil BRROMIACNOR8 | 43 | 7 M $ |
| 7 872 | Tevogen Bio Holdings Inc US88165K2006 | 43 | 317,8 k $ |
| 7 873 | INVESTMENT COMPANY OF AMERICA US4613088198 | 42 | 22,7 Md $ |
| 7 874 | Krishna Institute of Medical Sciences Ltd INE967H01025 | 42 | 16,5 Md $ |
| 7 875 | Aptus Value Housing Finance India Ltd INE852O01025 | 42 | 12,4 Md $ |
| 7 876 | Ramco Cements Ltd/The INE331A01037 | 42 | 7,9 Md $ |
| 7 877 | HEG Ltd INE545A01024 | 42 | 4,4 Md $ |
| 7 878 | L&T Technology Services Ltd INE010V01017 | 42 | 4,3 Md $ |
| 7 879 | CMS Info Systems Ltd INE925R01014 | 42 | 3,9 Md $ |
| 7 880 | Craftsman Automation Ltd INE00LO01017 | 42 | 2,4 Md $ |
| 7 881 | State Street SPDR Bloomberg High Yield Bond ETF US78468R6229 | 42 | 1,2 Md $ |
| 7 882 | State Street Health Care Select Sector SPDR ETF US81369Y2090 | 42 | 950,6 M $ |
| 7 883 | Duni AB SE0000616716 | 42 | 414,9 M $ |
| 7 884 | Americas Gold & Silver Corp CA03062D8035 | 42 | 374,5 M $ |
| 7 885 | Topaz Energy Corp CA89055A2039 | 42 | 310,6 M $ |
| 7 886 | SPDR Gold Shares US78463V1070 | 42 | 300,5 M $ |
| 7 887 | Sarantis SA GRS204003008 | 42 | 282,9 M $ |
| 7 888 | HFCL Ltd INE548A01028 | 42 | 237,2 M $ |
| 7 889 | Test Research Inc TW0003030003 | 42 | 181,7 M $ |
| 7 890 | Cia De Sanena Do Parana BRSAPRACNPR6 | 42 | 165,1 M $ |
| 7 891 | FIBI Holdings Ltd IL0007630119 | 42 | 142 M $ |
| 7 892 | Grieg Seafood ASA NO0010365521 | 42 | 131,1 M $ |
| 7 893 | Cochin Shipyard Ltd INE704P01025 | 42 | 127,9 M $ |
| 7 894 | Cia Sud Americana de Vapores SA CLP3064M1019 | 42 | 114,5 M $ |
| 7 895 | Mahanagar Gas Ltd INE002S01010 | 42 | 107,7 M $ |
| 7 896 | BEML Ltd INE258A01024 | 42 | 107 M $ |
| 7 897 | Cisarua Mountain Dairy PT TBK ID1000164700 | 42 | 104 M $ |
| 7 898 | Truworths International Ltd ZAE000028296 | 42 | 103,4 M $ |
| 7 899 | Vodafone Qatar PQSC QA000A0Q5NE9 | 42 | 102,5 M $ |
| 7 900 | Sunac China Holdings Ltd KYG8569A1067 | 42 | 97 M $ |