22,061 securities held by 13F filers in Q4 2025, ranked by institutional ownership.
| # | Stock | CUSIP | Holders | Inst. Value | New | Closed |
|---|---|---|---|---|---|---|
| 5351 | Rbb Fd IncUS TREASY 2 YR | 74933W486 | 63 | $170.29M | +10 | −7 |
| 5352 | Rani Therapeutics Hldgs IncCOM CL A | 753018100 | 63 | $60.34M | +35 | −9 |
| 5353 | Stellus Cap Invt CorpCOM | 858568108 | 63 | $48.61M | +4 | −11 |
| 5354 | T Rowe Price ETF IncINTERNATIONAL EQ | 87283Q834 | 63 | $323.66M | +15 | −4 |
| 5355 | Trisalus Life Sciences IncCOM | 89680M101 | 63 | $79.41M | +12 | −6 |
| 5356 | Virtus Convertible & IncomeCOM NEW | 92838X805 | 63 | $89.16M | +7 | −6 |
| 5357 | Allspring Global Dividend OpCOM | 94987C103 | 63 | $77.61M | +9 | −6 |
| 5358 | Karooooo LtdORD SHS | Y4600W108 | 63 | $166.65M | +14 | −11 |
| 5359 | Aim ETF Products TrustALLIANZIM US LRG | 00888H687 | 62 | $194.93M | +5 | −6 |
| 5360 | American Centy ETF TrAVANTIS RESPONSI | 025072315 | 62 | $81.66M | +9 | −7 |
| 5361 | Amplify ETF TrAMPLIFY ETHO CLI | 032108557 | 62 | $37.48M | +6 | −7 |
| 5362 | Amplify ETF TrCWP INTL ENHANCE | 032108722 | 62 | $216.54M | +16 | −3 |
| 5363 | Blackrock Invt Quality Mun TCOM | 09247D105 | 62 | $77.26M | +6 | −7 |
| 5364 | Blackrock Muniholdings QualiCOM | 09254C107 | 62 | $88.53M | +10 | −9 |
| 5365 | Digi Pwr X IncCOM SUB VTG | 25380B102 | 62 | $31.04M | +36 | −5 |
| 5366 | ETF Ser SolutionsAAM LW DUR PFD | 26922A198 | 62 | $241.76M | +5 | −9 |
| 5367 | Fidelity Covington TrustFUNDAMENTAL SMAL | 316092295 | 62 | $874.45M | +14 | −4 |
| 5368 | First Tr Exchange-Traded AlpSML CAP VAL ALPH | 33737M409 | 62 | $109.31M | +4 | −5 |
| 5369 | First Tr Exchange-Traded FdFT VEST TEC | 33738D812 | 62 | $120.33M | +18 | −4 |
| 5370 | First Tr Exchng Traded Fd ViFT VEST NASD 100 | 33740F219 | 62 | $42.02M | +9 | −4 |
| 5371 | First Tr Exchng Traded Fd ViFT VEST U.S | 33740F466 | 62 | $41.05M | +12 | −6 |
| 5372 | Flexshares TrCR SCD US BD | 33939L761 | 62 | $549.16M | +7 | −2 |
| 5373 | Franklin ETF TrSHRT DUR US GOVT | 353506108 | 62 | $160.05M | +10 | −6 |
| 5374 | Full Hse Resorts IncCOM | 359678109 | 62 | $38.12M | +7 | −13 |
| 5375 | Gsi Technology IncCOM | 36241U106 | 62 | $51.76M | +21 | −10 |
| 5376 | Goldman Sachs ETF TrACCESS US AGRAT | 38149W101 | 62 | $711.23M | +12 | −4 |
| 5377 | Harvard Bioscience IncCOM | 416906105 | 62 | $10.45M | +9 | −8 |
| 5378 | Hawthorn Bancshares IncCOM | 420476103 | 62 | $72.71M | +7 | −4 |
| 5379 | Innovator Etfs TrustEMERGING MKT PWR | 45782C623 | 62 | $85.88M | +16 | −1 |
| 5380 | Invesco Exchange Traded Fd TS&P500 EQL REL | 46137V290 | 62 | $46.78M | +11 | −12 |
| 5381 | Invesco Exch Trd Slf Idx FdINVESCO BULLETSH | 46139W791 | 62 | $71.33M | +6 | −2 |
| 5382 | Lumexa Imaging Holdings IncCOM | 550249106 | 62 | $486.05M | +62 | — |
| 5383 | Lument Finance Trust IncCOM | 55025L108 | 62 | $17.12M | +9 | −8 |
| 5384 | Maui Ld & Pineapple IncCOM | 577345101 | 62 | $62.75M | +2 | −7 |
| 5385 | Nuveen New Jersey Qult Mun FCOM | 67069Y102 | 62 | $59.61M | +9 | −15 |
| 5386 | Pgim High Yield Bond Fund InCOM | 69346H100 | 62 | $105.61M | +3 | −2 |
| 5387 | Pmv Pharmaceuticals IncCOM | 69353Y103 | 62 | $44.13M | +8 | −10 |
| 5388 | Profound Med CorpCOM NEW | 74319B502 | 62 | $116.14M | +22 | −6 |
| 5389 | Proshares TrPSHS ULTRA TECH | 74347R693 | 62 | $55.02M | +10 | −8 |
| 5390 | Proshares TrULTRPRO DOW30 | 74347X823 | 62 | $94.86M | +8 | −10 |
| 5391 | Rivernorth Flexible Muni IncCOM | 76883Y107 | 62 | $89.39M | +12 | −7 |
| 5392 | Seer IncCOM CL A | 81578P106 | 62 | $40.20M | +8 | −7 |
| 5393 | Tidal Trust IIYIELDMAX TSLA OP | 88636X880 | 62 | $87.38M | +57 | — |
| 5394 | Vesta Real Estate CorpADS | 92540K109 | 62 | $209.71M | +10 | −10 |
| 5395 | Westwood Hldgs Group IncCOM | 961765104 | 62 | $82.51M | +6 | −5 |
| 5396 | Berto Acquisition CorpORD SHS | G1051H101 | 62 | $254.27M | +12 | −13 |
| 5397 | Abrdn Emerging Markets Ex ChCOM | 00301W105 | 61 | $157.12M | +6 | −10 |
| 5398 | Civeo Corp CdaCOM NEW | 17878Y207 | 61 | $212.54M | +7 | −15 |
| 5399 | Dbx ETF TrXTRACK MSCI JAPN | 233051507 | 61 | $243.21M | +6 | −2 |
| 5400 | Destination Xl Group IncCOM | 25065K104 | 61 | $32.11M | +8 | −11 |