22,061 securities held by 13F filers in Q4 2025, ranked by institutional ownership.
| # | Stock | CUSIP | Holders | Inst. Value | New | Closed |
|---|---|---|---|---|---|---|
| 7151 | Profesionally Managed PortfoCONGRESS INTERME | 74316P587 | 27 | $196.22M | +3 | −2 |
| 7152 | United Homes Group IncCL A | 91060H108 | 27 | $8.65M | +3 | −20 |
| 7153 | First Gty Bancshares IncCOM | 32043P106 | 27 | $4.25M | — | −7 |
| 7154 | Direxion Shs ETF TrDAILY PLTR BULL | 25461A445 | 27 | $23.87M | +14 | −9 |
| 7155 | Plus Therapeutics IncCOM | 72941H509 | 27 | $5.66M | +10 | −6 |
| 7156 | First Tr Exchng Traded Fd ViVEST US EQU ENHA | 33740U596 | 27 | $27.13M | +5 | −5 |
| 7157 | Invesco Actvely Mngd Etc FdAGRI CMDTY STRA | 46090F308 | 27 | $24.98M | +3 | −2 |
| 7158 | Tidal Trust IUNLIMITED HFGM | 886364363 | 27 | $37.81M | +13 | −1 |
| 7159 | Neos ETF TrustREAL ESTATE HIGH | 78433H618 | 27 | $27.08M | +11 | −3 |
| 7160 | Rivernorth Opportunistic MunCOM | 76883F108 | 27 | $18.48M | +4 | −3 |
| 7161 | Vivosim Labs IncCOM | 68620A302 | 27 | $189.3K | +4 | −7 |
| 7162 | Alpha Cognition IncCOM NEW | 02074J501 | 27 | $64.41M | +7 | −8 |
| 7163 | Tidal Trust IIIAFFORDABLE HOUS | 74741A106 | 27 | $61.85M | +8 | −3 |
| 7164 | Beyond Air IncCOM NEW | 08862L202 | 27 | $1.02M | +5 | −6 |
| 7165 | Hitachi LtdADR | 433578507 | 27 | $31.01M | +5 | — |
| 7166 | Angel Oak Funds TrustHIGH YIELD OPPOR | 03463K745 | 27 | $75.30M | +3 | −4 |
| 7167 | Ncs Multistage Hldgs IncCOM NEW | 628877201 | 27 | $73.51M | +4 | −6 |
| 7168 | Spectral Ai IncCOM CL A | 84757T105 | 27 | $6.61M | +7 | −4 |
| 7169 | Global X FdsE COMMERCE ETF | 37954Y467 | 27 | $16.80M | +6 | −6 |
| 7170 | Data I O CorpCOM | 237690102 | 27 | $6.31M | +3 | −2 |
| 7171 | Dare Bioscience IncCOM NEW | 23666P200 | 27 | $1.83M | +11 | −4 |
| 7172 | Putnam ETF TrustFRANKLIN NEW JER | 746729771 | 27 | $12.12M | +27 | — |
| 7173 | Above Food Ingredients IncCOM | 00373V100 | 27 | $2.83M | +15 | −3 |
| 7174 | L Oreal Co AdrCOM | 502117203 | 27 | $17.31M | +4 | −3 |
| 7175 | Global X FdsGBL X FTSE ETF | 37950E648 | 27 | $24.05M | +8 | −4 |
| 7176 | Creative Realities IncCOM | 22530J309 | 27 | $4.30M | +6 | −9 |
| 7177 | Eon Resources IncCOM CL A | 40472A102 | 27 | $844.3K | +5 | −4 |
| 7178 | Grove Collaborative Hold IncCOM CL A | 39957D201 | 27 | $13.36M | +3 | −6 |
| 7179 | Ishares TrIBONDS OCT 2026 | 46438G505 | 27 | $28.67M | +6 | — |
| 7180 | Ab Active Etfs IncUS LARGE CAP STR | 00039J707 | 27 | $659.62M | +7 | −2 |
| 7181 | Unified Ser TrONEASCENT EMGRG | 90470L469 | 27 | $65.91M | +5 | −5 |
| 7182 | Unified Ser TrONEASCENT CORE P | 90470L519 | 27 | $210.30M | +7 | −2 |
| 7183 | Ea Series TrustSTRIVE TOTAL RET | 02072L458 | 27 | $105.94M | +3 | −5 |
| 7184 | Unified Ser TrONEASCENT LARGE | 90470L527 | 27 | $169.75M | +3 | −2 |
| 7185 | Invesco Exch Traded Fd Tr IIS&P 500 EX RAT | 46138E388 | 27 | $13.61M | +3 | −2 |
| 7186 | Dbx ETF TrXTRACKERS US NAT | 23306X860 | 27 | $107.21M | +9 | −3 |
| 7187 | Allurion Technologies IncCOMMON STOCK | 02008G201 | 27 | $8.19M | +6 | −2 |
| 7188 | Pacer Fds TrLUNT MDCAP MLT | 69374H725 | 27 | $33.53M | +3 | −2 |
| 7189 | Fold Hldgs Inc*W EXP 02/14/203 | 29103K118 | 27 | $1.03M | +1 | — |
| 7190 | Auna S ACLASS A | L0415A103 | 27 | $22.29M | +7 | −4 |
| 7191 | First Tr Exchng Traded Fd ViFT VEST NASDAQ | 33740F128 | 27 | $14.62M | +5 | −2 |
| 7192 | Allianz SeADR | 018820100 | 27 | $14.77M | +5 | −1 |
| 7193 | Cayson Acquisition CorpSHS | G1993W109 | 27 | $53.53M | +1 | −3 |
| 7194 | Innovator Etfs TrustPREM INC 20 BARR | 45783Y525 | 26 | $10.51M | +11 | −1 |
| 7195 | Superx Ai Technology LtdUSD ORD SHS NEW | G5294K110 | 26 | $42.66M | +19 | −6 |
| 7196 | First Tr Exchange Traded FdNASDQ PHRMTCLS | 33738R837 | 26 | $11.39M | +9 | −2 |
| 7197 | Intrusion IncCOM | 46121E304 | 26 | $1.70M | +4 | −2 |
| 7198 | First Tr Exch Traded Fd IIIHORIZON MNGD ETF | 33739P871 | 26 | $17.73M | +5 | −3 |
| 7199 | Proshares TrRUSSELL 2000 HIG | 74349Y787 | 26 | $57.59M | +7 | −2 |
| 7200 | Ishares TrPARIS ALIGNED CL | 46436E411 | 26 | $1.55B | +3 | −3 |