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 |
|---|---|---|---|
| 9 301 | Japan Transcity Corp JP3739600009 | 32 | 25 M $ |
| 9 302 | SJF Bank A/S DK0060670776 | 32 | 24,8 M $ |
| 9 303 | Dimerco Express Corp TW0005609002 | 32 | 24,7 M $ |
| 9 304 | Yondenko Corp JP3962600007 | 32 | 24,5 M $ |
| 9 305 | Hana Tour Service Inc KR7039130000 | 32 | 24,4 M $ |
| 9 306 | MP Evans Group PLC GB0007538100 | 32 | 24,3 M $ |
| 9 307 | Korea Petrochemical Ind Co Ltd KR7006650006 | 32 | 23,6 M $ |
| 9 308 | Xiamen Faratronic Co Ltd CNE000001D72 | 32 | 23,1 M $ |
| 9 309 | Seoul Semiconductor Co Ltd KR7046890000 | 32 | 22,7 M $ |
| 9 310 | Triveni Engineering & Industries Ltd INE256C01024 | 32 | 22,5 M $ |
| 9 311 | Beijing Yanjing Brewery Co Ltd CNE000000S84 | 32 | 22,4 M $ |
| 9 312 | Ahnlab Inc KR7053800009 | 32 | 21,9 M $ |
| 9 313 | Starzen Co Ltd JP3399100001 | 32 | 21,8 M $ |
| 9 314 | Fukui Bank Ltd/The JP3803600000 | 32 | 21,8 M $ |
| 9 315 | Japan Investment Adviser Co Ltd JP3389470000 | 32 | 20,8 M $ |
| 9 316 | By-health Co Ltd CNE100000Y84 | 32 | 20,5 M $ |
| 9 317 | THG PLC GB00BMTV7393 | 32 | 19,2 M $ |
| 9 318 | Sebang Global Battery Co Ltd KR7004490009 | 32 | 18,7 M $ |
| 9 319 | Keda Industrial Group Co Ltd CNE000001CP8 | 32 | 18,5 M $ |
| 9 320 | EQT Holdings Ltd AU000000EQT1 | 32 | 18,4 M $ |
| 9 321 | Raymond Lifestyle Ltd INE02ID01020 | 32 | 18,4 M $ |
| 9 322 | GMM Pfaudler Ltd INE541A01023 | 32 | 17,9 M $ |
| 9 323 | AsiaInfo Technologies Ltd VGG0542G1028 | 32 | 17,8 M $ |
| 9 324 | Senseonics Holdings Inc US81727U3032 | 32 | 17,7 M $ |
| 9 325 | Cogeco Inc CA19238T1003 | 32 | 17,6 M $ |
| 9 326 | Advancetek Enterprise Co Ltd TW0001442002 | 32 | 17,4 M $ |
| 9 327 | Hung Sheng Construction Ltd TW0002534005 | 32 | 16,9 M $ |
| 9 328 | MOBIL'NYE TELESISTEMY PAO RU0007775219 | 32 | 16,8 M $ |
| 9 329 | Astra Agro Lestari Tbk PT ID1000066004 | 32 | 16,7 M $ |
| 9 330 | OVH Groupe SA FR0014005HJ9 | 32 | 15,7 M $ |
| 9 331 | ION Exchange India Ltd INE570A01022 | 32 | 15,6 M $ |
| 9 332 | TA-I Technology Co Ltd TW0002478005 | 32 | 15,3 M $ |
| 9 333 | JP-Holdings Inc JP3386190007 | 32 | 15,1 M $ |
| 9 334 | Oceania Healthcare Ltd NZOCAE0002S0 | 32 | 14,9 M $ |
| 9 335 | Matsuyafoods Holdings Co Ltd JP3869800007 | 32 | 14,5 M $ |
| 9 336 | Unid Co Ltd KR7014830004 | 32 | 13,7 M $ |
| 9 337 | Syarikat Takaful Malaysia Keluarga Bhd MYL6139OO009 | 32 | 13,7 M $ |
| 9 338 | YUNDA Holding Group Co Ltd CNE100000015 | 32 | 13,3 M $ |
| 9 339 | Legacy Education Inc US52474R2076 | 32 | 13,2 M $ |
| 9 340 | Australian Ethical Investment Ltd AU000000AEF4 | 32 | 13,1 M $ |
| 9 341 | Aspirasi Hidup Indonesia Tbk PT ID1000125503 | 32 | 13,1 M $ |
| 9 342 | BBMG Corp CNE100000F20 | 32 | 11,8 M $ |
| 9 343 | Tamar Petroleum Ltd IL0011413577 | 32 | 11,2 M $ |
| 9 344 | Young & Co's Brewery PLC GB00B2NDK765 | 32 | 11 M $ |
| 9 345 | Charm Care Corp KK JP3512740006 | 32 | 10,8 M $ |
| 9 346 | RF Industries Ltd US7495521053 | 32 | 9,3 M $ |
| 9 347 | NESCO Ltd INE317F01035 | 32 | 9,2 M $ |
| 9 348 | Nexen Tire Corp KR7002350007 | 32 | 7,3 M $ |
| 9 349 | Propnex Ltd SGXE65086469 | 32 | 7,2 M $ |
| 9 350 | Saga Communications Inc US7865983008 | 32 | 7 M $ |
| 9 351 | Amvis Holdings Inc JP3128660002 | 32 | 7 M $ |
| 9 352 | Culp Inc US2302151053 | 32 | 6,1 M $ |
| 9 353 | Seer Inc US81578P1066 | 32 | 5,9 M $ |
| 9 354 | Brunel International NV NL0010776944 | 32 | 5,5 M $ |
| 9 355 | Ascom Holding AG CH0011339204 | 32 | 4,9 M $ |
| 9 356 | 2020 Bulkers Ltd BMG9156K1018 | 32 | 4,5 M $ |
| 9 357 | Webuild S.P.A. IT0005454423 | 32 | 1 M $ |
| 9 358 | VK IPJSC US5603172082 | 32 | 366,5 k $ |
| 9 359 | GROWTH FUND OF AMERICA (THE) US3998748178 | 31 | 28,3 Md $ |
| 9 360 | TRP NEW INCOME FD-Z US7795705067 | 31 | 14,4 Md $ |
| 9 361 | TTK Prestige Ltd INE690A01028 | 31 | 6,9 Md $ |
| 9 362 | TRP SMALL-CAP STOCK FD-Z US7795726014 | 31 | 2,6 Md $ |
| 9 363 | Vanguard Charlotte Funds US92203J4076 | 31 | 1,4 Md $ |
| 9 364 | Fidelity Income Fund US31617L7560 | 31 | 1,1 Md $ |
| 9 365 | Vaisala Oyj FI0009900682 | 31 | 1,1 Md $ |
| 9 366 | Ashoka Buildcon Ltd INE442H01029 | 31 | 903,1 M $ |
| 9 367 | Enity Holding AB SE0025011554 | 31 | 539,5 M $ |
| 9 368 | Shyam Metalics & Energy Ltd INE810G01011 | 31 | 330,7 M $ |
| 9 369 | iShares Trust US4642888774 | 31 | 290,2 M $ |
| 9 370 | Nivika Fastigheter AB SE0017083272 | 31 | 286,4 M $ |
| 9 371 | State Street Utilities Select Sector SPDR ETF US81369Y8865 | 31 | 227,6 M $ |
| 9 372 | Ur-Energy Inc CA91688R1082 | 31 | 187,5 M $ |
| 9 373 | SES SA USL8176HAF75 | 31 | 163,6 M $ |
| 9 374 | Ecopetrol SA COC04PA00016 | 31 | 142,4 M $ |
| 9 375 | BERKSHIRE DRN BRBERKBDR002 | 31 | 137,7 M $ |
| 9 376 | Valeura Energy Inc CA9191444020 | 31 | 120,7 M $ |
| 9 377 | Dexxos Participacoes SA BRDEXPACNOR1 | 31 | 119,7 M $ |
| 9 378 | Fulltech Fiber Glass Corp TW0001815009 | 31 | 111,8 M $ |
| 9 379 | Orion Oyj FI0009014369 | 31 | 106,5 M $ |
| 9 380 | BlackRock Liquidity Funds MuniCash US09248U8412 | 31 | 103 M $ |
| 9 381 | Liechtensteinische Landesbank AG LI0355147575 | 31 | 92,8 M $ |
| 9 382 | Paratus Energy Services Ltd. BMG6904D1083 | 31 | 89,5 M $ |
| 9 383 | Nihon Dengi Co Ltd JP3734350006 | 31 | 89,2 M $ |
| 9 384 | Longwell Co TW0006290000 | 31 | 83,7 M $ |
| 9 385 | Douglas AG DE000BEAU1Y4 | 31 | 79,5 M $ |
| 9 386 | Hana Micron Inc KR7067310003 | 31 | 76,4 M $ |
| 9 387 | Toyo Gosei Co Ltd JP3610400008 | 31 | 71,1 M $ |
| 9 388 | Dis-Chem Pharmacies Ltd ZAE000227831 | 31 | 69,2 M $ |
| 9 389 | Al Rajhi Co for Co-operative Insurance SA12A0540J14 | 31 | 67,8 M $ |
| 9 390 | Grupo Televisa S.A.B. US40049J2069 | 31 | 66,4 M $ |
| 9 391 | Swan Corp Ltd INE665A01038 | 31 | 65,8 M $ |
| 9 392 | Aryt Industries Ltd IL0005870147 | 31 | 65,7 M $ |
| 9 393 | Imperial Metals Corp CA4528921022 | 31 | 61,9 M $ |
| 9 394 | Boursa Kuwait Securities Co KPSC KW0EQ0607022 | 31 | 58,9 M $ |
| 9 395 | Allied Properties Real Estate Investment Trust CA0194561027 | 31 | 55,6 M $ |
| 9 396 | Arafura Rare Earths Ltd AU000000ARU5 | 31 | 55,3 M $ |
| 9 397 | Vetoquinol SA FR0004186856 | 31 | 47 M $ |
| 9 398 | ViTrox Corp Bhd MYQ0097OO004 | 31 | 46,6 M $ |
| 9 399 | Mangalore Refinery & Petrochemicals Ltd INE103A01014 | 31 | 46 M $ |
| 9 400 | Centuria Capital Group AU000000CNI5 | 31 | 43 M $ |