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 |
|---|---|---|---|
| 9 201 | Huang Hsiang Construction Corp TW0002545001 | 33 | 10,2 M $ |
| 9 202 | Anadolu Hayat Emeklilik AS TRAANHYT91O3 | 33 | 9,9 M $ |
| 9 203 | Inui Global Logistics Co Ltd JP3146800002 | 33 | 9,9 M $ |
| 9 204 | World Holdings Co Ltd JP3990220000 | 33 | 8 M $ |
| 9 205 | Granite Point Mortgage Trust Inc US38741L1070 | 33 | 7,1 M $ |
| 9 206 | Kongsberg Automotive ASA NO0003033102 | 33 | 6,3 M $ |
| 9 207 | Audax Renovables SA ES0136463017 | 33 | 5,6 M $ |
| 9 208 | SEVERSTAL' PAO RU0009046510 | 33 | 4,4 M $ |
| 9 209 | KAISA GROUP HOLDINGS LTD KYG521321003 | 33 | 749,5 k $ |
| 9 210 | Evraz PLC GB00B71N6K86 | 33 | 485 k $ |
| 9 211 | Logistic Properties of The Americas KYG5557R1092 | 33 | 381 k $ |
| 9 212 | Severstal PAO US8181503025 | 33 | 150,4 k $ |
| 9 213 | AMCAP FUND US0233758194 | 32 | 24 Md $ |
| 9 214 | TRP US LARGE-CAP CORE FD-Z US74149R4048 | 32 | 12,9 Md $ |
| 9 215 | TRP OVERSEAS STOCK FD-Z US87281D8359 | 32 | 12,3 Md $ |
| 9 216 | TRP EMER MKTS BND FD-Z US87281D8011 | 32 | 3,3 Md $ |
| 9 217 | TRP HIGH YIELD FD-Z US7414817095 | 32 | 3 Md $ |
| 9 218 | Aavas Financiers Ltd INE216P01012 | 32 | 2,4 Md $ |
| 9 219 | Poly Medicure Ltd INE205C01021 | 32 | 2,1 Md $ |
| 9 220 | Garware Technical Fibres Ltd INE276A01018 | 32 | 1,4 Md $ |
| 9 221 | Siemens AG US8261975010 | 32 | 653,3 M $ |
| 9 222 | Fidelity Hereford Street Trust US31617H8549 | 32 | 579,7 M $ |
| 9 223 | Rainbow Children's Medicare Ltd INE961O01016 | 32 | 571 M $ |
| 9 224 | Blue Owl Capital Corp US69121K1043 | 32 | 466,2 M $ |
| 9 225 | Vanguard Scottsdale Funds US92206C7065 | 32 | 293,8 M $ |
| 9 226 | CTT Systems AB SE0000418923 | 32 | 246 M $ |
| 9 227 | PTT Global Chemical PCL TH1074010014 | 32 | 210,8 M $ |
| 9 228 | WPP PLC US92937A1025 | 32 | 196,5 M $ |
| 9 229 | Silex Systems Ltd AU000000SLX4 | 32 | 195,9 M $ |
| 9 230 | Five-Star Business Finance Ltd INE128S01021 | 32 | 173,6 M $ |
| 9 231 | Berner Kantonalbank AG CH0009691608 | 32 | 148,8 M $ |
| 9 232 | Vestum AB SE0017134125 | 32 | 142,2 M $ |
| 9 233 | TIM SA/Brazil US88706T1088 | 32 | 132,5 M $ |
| 9 234 | Resilient REIT Ltd ZAE000209557 | 32 | 128,4 M $ |
| 9 235 | Reit 1 Ltd IL0010989205 | 32 | 115,7 M $ |
| 9 236 | Fairfax India Holdings Corp CA3038971022 | 32 | 115 M $ |
| 9 237 | Dynamic Holding Co Ltd TW0003715009 | 32 | 113,1 M $ |
| 9 238 | Latam Airlines Group SA US51817R2058 | 32 | 108,2 M $ |
| 9 239 | Essity AB SE0009922156 | 32 | 97,4 M $ |
| 9 240 | Pexip Holding ASA NO0010840507 | 32 | 91,2 M $ |
| 9 241 | Quinenco SA CLP7980K1070 | 32 | 86,9 M $ |
| 9 242 | Dustin Group AB SE0006625471 | 32 | 86,8 M $ |
| 9 243 | BICO Group AB SE0013647385 | 32 | 85,8 M $ |
| 9 244 | I-Chiun Precision Industry Co Ltd TW0002486008 | 32 | 85,8 M $ |
| 9 245 | Peker Gayrimenkul Yatirim Ortakligi AS TREPEGY00022 | 32 | 85,1 M $ |
| 9 246 | Cia Energetica de Minas Gerais US2044096012 | 32 | 83,6 M $ |
| 9 247 | Electro Optic Systems Holdings Ltd AU000000EOS8 | 32 | 83,2 M $ |
| 9 248 | NTT DC REIT SGXC92727947 | 32 | 81,7 M $ |
| 9 249 | SIMMTECH Co Ltd KR7222800005 | 32 | 73,9 M $ |
| 9 250 | Metro Bank Holdings PLC GB00BMX3W479 | 32 | 73,5 M $ |
| 9 251 | Zydus Wellness Ltd INE768C01028 | 32 | 71,5 M $ |
| 9 252 | HL Holdings Corp KR7060980000 | 32 | 63,5 M $ |
| 9 253 | TechWing Inc KR7089030001 | 32 | 62,6 M $ |
| 9 254 | Arena REIT AU000000ARF6 | 32 | 62,6 M $ |
| 9 255 | CSC Financial Co Ltd CNE100002B89 | 32 | 61,2 M $ |
| 9 256 | Raisio Oyj FI0009002943 | 32 | 59,5 M $ |
| 9 257 | Scientech Corp TW0003583001 | 32 | 59,5 M $ |
| 9 258 | Jamjoom Pharmaceuticals Factory Co SA15QGU1UNH6 | 32 | 59,1 M $ |
| 9 259 | Generation Development Group Ltd AU0000005126 | 32 | 58,9 M $ |
| 9 260 | Chiba Kogyo Bank Ltd/The JP3512200001 | 32 | 57,8 M $ |
| 9 261 | UOB-Kay Hian Holdings Ltd SG1J21887414 | 32 | 55,7 M $ |
| 9 262 | Pico Far East Holdings Ltd KYG7082H1276 | 32 | 54,1 M $ |
| 9 263 | Xinhua Winshare Publishing and Media Co Ltd CNE1000004B0 | 32 | 52,7 M $ |
| 9 264 | SPAR Group Ltd/The ZAE000058517 | 32 | 51,7 M $ |
| 9 265 | AlKhorayef Water & Power Technologies Co SA1591410GH0 | 32 | 51,5 M $ |
| 9 266 | Godrej Industries Ltd INE233A01035 | 32 | 51,2 M $ |
| 9 267 | Mercuries Life Insurance Co Ltd TW0002867009 | 32 | 50,1 M $ |
| 9 268 | Dentium Co Ltd KR7145720009 | 32 | 50,1 M $ |
| 9 269 | Lufax Holding Ltd US54975P2011 | 32 | 49,5 M $ |
| 9 270 | TARGET HEALTHCARE REIT PLC GB00BJGTLF51 | 32 | 49 M $ |
| 9 271 | East Pipes Integrated Co for Industry SA15GH80KKH0 | 32 | 48,4 M $ |
| 9 272 | Furuya Metal Co Ltd JP3828850002 | 32 | 47,7 M $ |
| 9 273 | Saudi Reinsurance Co SA1210540419 | 32 | 46,9 M $ |
| 9 274 | China Youran Dairy Group Ltd KYG2163J1004 | 32 | 46,2 M $ |
| 9 275 | Lumax International Corp Ltd TW0006192008 | 32 | 45,9 M $ |
| 9 276 | S&S Tech Corp KR7101490001 | 32 | 44,8 M $ |
| 9 277 | Nohmi Bosai Ltd JP3759800000 | 32 | 41,5 M $ |
| 9 278 | COFCO Joycome Foods Ltd KYG226921008 | 32 | 40,1 M $ |
| 9 279 | Martinrea International Inc CA5734591046 | 32 | 39,4 M $ |
| 9 280 | Security Bank Corp PHY7571C1000 | 32 | 39,2 M $ |
| 9 281 | Salhia Real Estate Co KSCP KW0EQ0400642 | 32 | 38,2 M $ |
| 9 282 | Avon Technologies PLC GB0000667013 | 32 | 37,7 M $ |
| 9 283 | Komori Corp JP3305800009 | 32 | 37,6 M $ |
| 9 284 | Foster Electric Co Ltd JP3802800007 | 32 | 35,5 M $ |
| 9 285 | Loncin Motor Co Ltd CNE100001JP2 | 32 | 35,5 M $ |
| 9 286 | CECEP Solar Energy Co Ltd CNE0000000K1 | 32 | 35,2 M $ |
| 9 287 | Sunshine Lake Pharma Co Ltd CNE1000070M8 | 32 | 34,8 M $ |
| 9 288 | Fu Shou Yuan International Group Ltd KYG371091086 | 32 | 34 M $ |
| 9 289 | Cathay Real Estate Development Co Ltd TW0002501004 | 32 | 33,7 M $ |
| 9 290 | Elmera Group ASA NO0010815673 | 32 | 33,6 M $ |
| 9 291 | Mineros SA COC07PA00027 | 32 | 33,6 M $ |
| 9 292 | RS Technologies Co Ltd JP3100350002 | 32 | 32,6 M $ |
| 9 293 | Integral Diagnostics Ltd AU000000IDX2 | 32 | 31,8 M $ |
| 9 294 | Anicom Holdings Inc JP3122440005 | 32 | 30,7 M $ |
| 9 295 | IHS Holding Ltd KYG4701H1092 | 32 | 28,1 M $ |
| 9 296 | Velesto Energy Bhd MYL5243OO000 | 32 | 27,7 M $ |
| 9 297 | InBody Co Ltd KR7041830001 | 32 | 27,6 M $ |
| 9 298 | TK Corp KR7023160005 | 32 | 27,2 M $ |
| 9 299 | Guangzhou Shiyuan Electronic Technology Co Ltd CNE100002K47 | 32 | 26,6 M $ |
| 9 300 | Peninsula Energy Limited AU000000PEN6 | 32 | 25,5 M $ |