22,061 securities held by 13F filers in Q4 2025, ranked by institutional ownership.
| # | Stock | CUSIP | Holders | Inst. Value | New | Closed |
|---|---|---|---|---|---|---|
| 601 | West Pharmaceutical Svsc IncCOM | 955306105 | 790 | $18.06B | +86 | −55 |
| 602 | Wheaton Precious Metals CorpCOM | 962879102 | 789 | $31.71B | +98 | −66 |
| 603 | Avery Dennison CorpCOM | 053611109 | 787 | $12.40B | +115 | −76 |
| 604 | Select Sector Spdr TrSBI MATERIALS | 81369Y100 | 787 | $4.07B | +83 | −77 |
| 605 | Waters CorpCOM | 941848103 | 786 | $20.77B | +92 | −65 |
| 606 | Celestica IncCOM | 15101Q207 | 784 | $22.48B | +148 | −79 |
| 607 | Allegion PLCORD SHS | G0176J109 | 784 | $12.35B | +84 | −68 |
| 608 | Cms Energy CorpCOM | 125896100 | 783 | $19.62B | +62 | −69 |
| 609 | Rpm Intl IncCOM | 749685103 | 783 | $10.29B | +86 | −72 |
| 610 | Rivian Automotive IncCOM CL A | 76954A103 | 783 | $13.86B | +89 | −70 |
| 611 | Cdw CorpCOM | 12514G108 | 782 | $16.04B | +75 | −114 |
| 612 | Ishares TrCORE HIGH DV ETF | 46429B663 | 782 | $4.98B | +47 | −49 |
| 613 | Lyondellbasell Industries NSHS - A - | N53745100 | 782 | $10.01B | +95 | −133 |
| 614 | Bloom Energy CorpCOM CL A | 093712107 | 781 | $19.30B | +240 | −79 |
| 615 | Dimensional ETF TrustINTERNATNAL VAL | 25434V807 | 781 | $12.87B | +53 | −28 |
| 616 | On Semiconductor CorpCOM | 682189105 | 781 | $22.03B | +95 | −97 |
| 617 | Trimble IncCOM | 896239100 | 781 | $17.13B | +74 | −64 |
| 618 | Atlassian CorporationCL A | 049468101 | 780 | $23.50B | +129 | −112 |
| 619 | Conagra Brands IncCOM | 205887102 | 780 | $6.74B | +98 | −99 |
| 620 | Toast IncCL A | 888787108 | 780 | $15.16B | +104 | −73 |
| 621 | Toronto Dominion Bk OntCOM NEW | 891160509 | 780 | $75.65B | +93 | −35 |
| 622 | Diageo PLCSPON ADR NEW | 25243Q205 | 779 | $4.59B | +70 | −113 |
| 623 | Las Vegas Sands CorpCOM | 517834107 | 779 | $16.87B | +150 | −53 |
| 624 | Dominos Pizza IncCOM | 25754A201 | 778 | $12.87B | +85 | −85 |
| 625 | Hasbro IncCOM | 418056107 | 778 | $10.35B | +119 | −62 |
| 626 | Ishares TrCORE S&P US VLU | 464287663 | 778 | $19.45B | +62 | −42 |
| 627 | American Centy ETF TrAVANTIS EMGMKT | 025072604 | 777 | $14.57B | +93 | −30 |
| 628 | Factset Resh Sys IncCOM | 303075105 | 775 | $10.39B | +135 | −129 |
| 629 | Spdr Series TrustPORTFOLIO S&P400 | 78464A847 | 775 | $11.99B | +66 | −37 |
| 630 | Charter Communications Inc NCL A | 16119P108 | 773 | $20.39B | +91 | −122 |
| 631 | Henry Jack & Assoc IncCOM | 426281101 | 772 | $12.64B | +123 | −90 |
| 632 | Pure Storage IncCL A | 74624M102 | 772 | $17.74B | +96 | −96 |
| 633 | Dimensional ETF TrustUS TARGETED VLU | 25434V609 | 771 | $9.56B | +32 | −27 |
| 634 | Fox CorpCL A COM | 35137L105 | 770 | $16.33B | +96 | −55 |
| 635 | Fortive CorpCOM | 34959J108 | 769 | $16.49B | +93 | −67 |
| 636 | Pentair PLCSHS | G7S00T104 | 769 | $14.48B | +82 | −79 |
| 637 | Docusign IncCOM | 256163106 | 768 | $10.89B | +75 | −116 |
| 638 | Medpace Hldgs IncCOM | 58506Q109 | 768 | $12.58B | +140 | −49 |
| 639 | Rocket Cos IncCOM CL A | 77311W101 | 768 | $15.21B | +311 | −67 |
| 640 | Natera IncCOM | 632307104 | 764 | $26.22B | +139 | −63 |
| 641 | First Tr Exchange Traded FdNASDAQ CYB ETF | 33734X846 | 763 | $5.85B | +65 | −38 |
| 642 | Blackrock ETF TrustISHARES US EQUIT | 09290C103 | 762 | $30.12B | +100 | −31 |
| 643 | Ralph Lauren CorpCL A | 751212101 | 762 | $13.01B | +110 | −50 |
| 644 | Alps ETF TrALERIAN MLP | 00162Q452 | 760 | $4.74B | +58 | −45 |
| 645 | Fidelity National FinancialCOM SHS | 31620R303 | 760 | $11.63B | +82 | −68 |
| 646 | Live Nation Entertainment InCOM | 538034109 | 759 | $26.45B | +70 | −114 |
| 647 | Centerpoint Energy IncCOM | 15189T107 | 758 | $22.49B | +70 | −71 |
| 648 | Select Sector Spdr TrRL EST SEL SEC | 81369Y860 | 756 | $5.66B | +80 | −69 |
| 649 | Check Point Software Tech LtORD | M22465104 | 756 | $13.60B | +78 | −84 |
| 650 | Carlisle Cos IncCOM | 142339100 | 755 | $12.46B | +87 | −83 |