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 |
|---|---|---|---|
| 9 001 | Gudang Garam Tbk PT ID1000068604 | 34 | 26,1 M $ |
| 9 002 | SKYCITY Entertainment Group Ltd NZSKCE0001S2 | 34 | 25,2 M $ |
| 9 003 | JBCC Holdings Inc JP3746800006 | 34 | 25 M $ |
| 9 004 | China Education Group Holdings Ltd KYG2163M1033 | 34 | 24,3 M $ |
| 9 005 | Kossan Rubber Industries Bhd MYL7153OO009 | 34 | 23,7 M $ |
| 9 006 | Nippon Denko Co Ltd JP3734600004 | 34 | 23,1 M $ |
| 9 007 | Agthia Group PJSC AEA001901015 | 34 | 22,7 M $ |
| 9 008 | Kesko Oyj FI0009007900 | 34 | 22,6 M $ |
| 9 009 | Tong Ren Tang Technologies Co Ltd CNE100000585 | 34 | 22,4 M $ |
| 9 010 | Kenda Rubber Industrial Co Ltd TW0002106002 | 34 | 21,5 M $ |
| 9 011 | Kosaido Holdings Co Ltd JP3287700003 | 34 | 21,5 M $ |
| 9 012 | S&B Foods Inc JP3163600004 | 34 | 21,5 M $ |
| 9 013 | Ahlatci Dogal Gaz Dagitim Enerji VE Yatirim AS TREAHLA00019 | 34 | 21,2 M $ |
| 9 014 | Halfords Group PLC GB00B012TP20 | 34 | 20,9 M $ |
| 9 015 | Channel Well Technology Co Ltd TW0003078002 | 34 | 19,8 M $ |
| 9 016 | China Yongda Automobiles Services Holdings Ltd KYG2162W1024 | 34 | 19,2 M $ |
| 9 017 | Stella Chemifa Corp JP3399720006 | 34 | 18,8 M $ |
| 9 018 | Allied Supreme Corp TW0004770003 | 34 | 18,7 M $ |
| 9 019 | Studio Dragon Corp KR7253450001 | 34 | 18,6 M $ |
| 9 020 | J-Oil Mills Inc JP3840000008 | 34 | 18,3 M $ |
| 9 021 | TOA Road Corp JP3558000000 | 34 | 17,8 M $ |
| 9 022 | Grupa Azoty SA PLZATRM00012 | 34 | 17,7 M $ |
| 9 023 | Fuji Pharma Co Ltd JP3816200004 | 34 | 16,9 M $ |
| 9 024 | AvenuesAI Ltd INE483S01020 | 34 | 16,8 M $ |
| 9 025 | Triputra Agro Persada PT ID1000160302 | 34 | 16,7 M $ |
| 9 026 | PHX Energy Services Corp CA69338U1012 | 34 | 16,5 M $ |
| 9 027 | Sanshin Electronics Co Ltd JP3333200008 | 34 | 16,2 M $ |
| 9 028 | Dharma Satya Nusantara Tbk PT ID1000135809 | 34 | 15,9 M $ |
| 9 029 | Nippon Carbon Co Ltd JP3690400001 | 34 | 15,2 M $ |
| 9 030 | 29Metals Ltd AU0000157067 | 34 | 15 M $ |
| 9 031 | Hanwha General Insurance Co Ltd KR7000370007 | 34 | 14,6 M $ |
| 9 032 | Hodogaya Chemical Co Ltd JP3852600000 | 34 | 14,5 M $ |
| 9 033 | Okabe Co Ltd JP3192000002 | 34 | 13,9 M $ |
| 9 034 | Kogan.com Ltd AU000000KGN2 | 34 | 13,7 M $ |
| 9 035 | Riso Kagaku Corp JP3974400008 | 34 | 12,9 M $ |
| 9 036 | Pharmanutra SpA IT0005274094 | 34 | 12,7 M $ |
| 9 037 | en Inc/Japan JP3168700007 | 34 | 12,4 M $ |
| 9 038 | Scroll Corp JP3913600007 | 34 | 11,2 M $ |
| 9 039 | Corbus Pharmaceuticals Holdings Inc US21833P3010 | 34 | 10,6 M $ |
| 9 040 | Wiit SpA IT0005440893 | 34 | 9,7 M $ |
| 9 041 | Mie Kotsu Group Holdings Inc JP3332510001 | 34 | 9,5 M $ |
| 9 042 | Novolipetsk Steel PJSC RU0009046452 | 34 | 9,5 M $ |
| 9 043 | Grupo Empresarial San Jose SA ES0180918015 | 34 | 9,3 M $ |
| 9 044 | Base Co Ltd JP3835210000 | 34 | 8,3 M $ |
| 9 045 | Kendrion NV NL0000852531 | 34 | 7,8 M $ |
| 9 046 | Coda Octopus Group Inc US19188U2069 | 34 | 6,9 M $ |
| 9 047 | VTB BANK PJSC RU000A0JP5V6 | 34 | 6,1 M $ |
| 9 048 | G8 Education Ltd AU000000GEM7 | 34 | 6 M $ |
| 9 049 | Duluth Holdings Inc US26443V1017 | 34 | 4,6 M $ |
| 9 050 | Akero Therapeutics Inc US009CVR0445 | 34 | 660 k $ |
| 9 051 | Zspace, Inc. US98980W1071 | 34 | 52 k $ |
| 9 052 | INVESCO - SHORT-TERM INVESTMENTS TRUST - GOVERNMENT AND AGENCY PORTFOLIO US8252528851 | 33 | 2,9 Md $ |
| 9 053 | Gateway Distriparks Ltd INE079J01017 | 33 | 1,8 Md $ |
| 9 054 | General Insurance Corp of India INE481Y01014 | 33 | 1,7 Md $ |
| 9 055 | SKF India Ltd INE640A01023 | 33 | 1,2 Md $ |
| 9 056 | VANGUARD DIVIDEND APPRECIATION VANGUARD DIVIDEND APPREC ETF US9219088443 | 33 | 1,1 Md $ |
| 9 057 | FIDELITY MID CAP INDEX FUND FIDELITY MID CAP INDX US3161462656 | 33 | 1,1 Md $ |
| 9 058 | Fidelity Salem Street Trust US31635T1043 | 33 | 749,4 M $ |
| 9 059 | PIMCO FUNDS US6933908823 | 33 | 720,4 M $ |
| 9 060 | Medistim ASA NO0010159684 | 33 | 533,2 M $ |
| 9 061 | Fidelity Salem Street Trust-Fidelity Small Cap Index Fund US3161461823 | 33 | 477,2 M $ |
| 9 062 | JTC PLC JE00BF4X3P53 | 33 | 404,2 M $ |
| 9 063 | Uniphar PLC IE00BJ5FQX74 | 33 | 329,4 M $ |
| 9 064 | LandMark Optoelectronics Corp TW0003081006 | 33 | 315,2 M $ |
| 9 065 | Gruvaktiebolaget Viscaria SE0021148160 | 33 | 304,3 M $ |
| 9 066 | FUCHS SE DE000A3E5D64 | 33 | 287,4 M $ |
| 9 067 | Karnell Group AB SE0017832173 | 33 | 285,9 M $ |
| 9 068 | LUCKIN COFFEE INC US54951L1098 | 33 | 266 M $ |
| 9 069 | Asia Commercial Bank JSC VN000000ACB8 | 33 | 246,4 M $ |
| 9 070 | SOLUM Co Ltd KR7248070005 | 33 | 227 M $ |
| 9 071 | Ependion AB SE0000671711 | 33 | 202,7 M $ |
| 9 072 | Rigaku Holdings Corp JP3969750003 | 33 | 172,1 M $ |
| 9 073 | i-80 Gold Corp CA44955L1067 | 33 | 146,8 M $ |
| 9 074 | Shanghai MicroPort MedBot Group Co Ltd CNE100004QP1 | 33 | 142,7 M $ |
| 9 075 | All Ring Tech Co Ltd TW0006187008 | 33 | 141,3 M $ |
| 9 076 | Al Masane Al Kobra Mining Co SA15HG50KL10 | 33 | 127,8 M $ |
| 9 077 | Antin Infrastructure Partners SA FR0014005AL0 | 33 | 127,1 M $ |
| 9 078 | AG Anadolu Grubu Holding AS TRAYAZIC91Q6 | 33 | 122,3 M $ |
| 9 079 | Rabigh Refining & Petrochemical Co SA120GAH5617 | 33 | 112,7 M $ |
| 9 080 | Koh Young Technology Inc KR7098460009 | 33 | 111 M $ |
| 9 081 | Yangzijiang Maritime Development Ltd SGXE35825913 | 33 | 108,9 M $ |
| 9 082 | Schneider Electric Infrastructure Ltd INE839M01018 | 33 | 108,7 M $ |
| 9 083 | Lassonde Industries Inc CA5179071017 | 33 | 106,3 M $ |
| 9 084 | Edelweiss Financial Services Ltd INE532F01054 | 33 | 103,4 M $ |
| 9 085 | Engie Energia Chile SA CL0001583070 | 33 | 79,8 M $ |
| 9 086 | Sapphire Foods India Ltd INE806T01020 | 33 | 77,1 M $ |
| 9 087 | Shougang Fushan Resources Group Ltd HK0639031506 | 33 | 76,9 M $ |
| 9 088 | Vor BioPharma Inc US9290332074 | 33 | 74,8 M $ |
| 9 089 | Elite Semiconductor Microelectronics Technology Inc TW0003006003 | 33 | 73,1 M $ |
| 9 090 | Seojin System Co Ltd KR7178320008 | 33 | 69 M $ |
| 9 091 | Lotte Energy Materials Corp KR7020150009 | 33 | 65,4 M $ |
| 9 092 | Phancy Group Co Ltd CNE100005KD7 | 33 | 65,2 M $ |
| 9 093 | XinTec Inc TW0003374005 | 33 | 65,2 M $ |
| 9 094 | Avia Avian Tbk PT ID1000165004 | 33 | 64,5 M $ |
| 9 095 | Annehem Fastigheter AB SE0015221684 | 33 | 64,3 M $ |
| 9 096 | HBM Holdings Ltd KYG4403H1002 | 33 | 62,3 M $ |
| 9 097 | Svedbergs Group AB SE0000407991 | 33 | 62,1 M $ |
| 9 098 | BHI Co Ltd KR7083650002 | 33 | 61,5 M $ |
| 9 099 | Kuwait Telecommunications Co KW0EQB010084 | 33 | 60,3 M $ |
| 9 100 | FIH Mobile Ltd KYG3472Y1199 | 33 | 59,4 M $ |