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Institutional Research

Stocks & Institutional Ownership

22,594 securities held by 13F filers in Q1 2026, ranked by institutional ownership.

#StockCUSIPHoldersInst. ValueNewClosed
7201Calamos ETF TrS&P 500 STRUCTUR12811T80328$25.31M+3−5
7202Calamos ETF TrNASDAQ 100 STRUC12811T87828$9.37M+4−6
7203Cbak Energy Technology IncCOM14986C10228$1.52M+2−4
7204Columbia ETF Tr IINTERNATIONAL EQ19761L86228$53.54M+6−1
7205Complete Solaria Inc*W EXP 07/31/20220460L11228$620.0K+1−4
7206Elevation Series TrustRIVERNORTH ACTIV21032267328$13.78M+4−4
7207Crawford & CoCL B22463310728$40.53M+1−4
7208Creative Realities IncCOM22530J30928$7.34M+8−5
7209Direxion Shs ETF TrDAILY META BULL25461A80928$19.75M+11−13
7210Doubleline ETF TrustASSET BACKED SEC25861R80828$119.96M+14−4
7211ETF Opportunities TrustREX OSPREY XRP26923N23128$7.58M+7−10
7212Electra Battery Materials CoCOM28474P70628$10.67M+8−4
7213Lunai Bioworks IncCOM SHS29350E20328$372.0K+7−4
7214Exchange Traded Concepts TruINQQ THE INDIA I30150555828$13.70M+1−4
7215First Tr Exchange-Traded FdWCM DEVELOPING W33733E74028$13.54M+16−2
7216First Tr Exchange Traded FdBLOOMBERG AI ETF33734X73928$11.51M+5−4
7217First Tr Exch Trd Alphdx FdGERMANY ALPHA33737J19028$88.41M+6−4
7218Flexible Solutions Intl IncCOM33938T10428$4.86M+5−5
7219Forian IncCOM34630N10628$4.73M+4−4
7220Franklin Templeton ETF TrEMER MKT COR DIV35473P20728$36.43M+11−1
7221Franklin Templeton ETF TrFTSE MEXICO35473P73628$44.22M+8−3
7222Fusemachines Inc*W EXP 10/22/20336118R11128$609.6K+3−2
7223Gct Semiconductor Hldg Inc*W EXP 03/01/20236170N11528$2.16M+3−4
7224Goldman Sachs ETF TrDYNAMIC CAL MUNI38149W56428$149.39M+8−3
7225Instil Bio IncCOM NEW45783C20028$17.21M+7−5
7226Innovate CorpCOM NEW45784J30328$12.14M+3−2
7227Ishares TrNEW ZEALAND ETF46428912328$23.35M+5−3
7228J P Morgan Exchange Traded FBETABUILDERS USD46641Q44928$23.57M+5−5
7229Kodiak Ai Inc.*W EXP 09/25/20350008111228$18.43M+4−6
7230Korea Fd IncCOM NEW50063420928$133.62M+3−5
7231Kraneshares TrustKWEB COVERD CALL50076727228$16.39M+9−3
7232Lake Shore Bancorp IncCOM51070410928$32.85M+2−3
7233Mastech Digital IncCOM57633B10028$10.96M+3−3
7234Mfs Inter High Income FdSH BEN INT59318T10928$974.5K+4−3
7235Morgan Stanley ETF TrustPARAMETRIC EQUIT61774R86628$230.95M+9−5
7236New Horizon Aircraft LtdCOM64550A10728$2.27M+9−2
7237Xmax IncCOM66979P30028$29.38M+10−11
7238Pebblebrook Hotel Tr6.375 PFD SER E70509V60528$51.11M+2−3
7239Pebblebrook Hotel Tr6.3 CUM PFD SR F70509V70428$77.16M+2−5
7240Powerbank CorpCOM SHS73933V10028$460.8K+9−8
7241Proshares TrMSCI EAFE DIVD74347B83928$33.00M+3−1
7242Provident Finl Hldgs IncCOM74386810128$42.08M+4−2
7243Putnam ETF TrustFRANKLIN PENNSYL74672974828$9.26M+5−5
7244Rbb Fd IncMOTLEY FOOL SML74933W87428$4.79M+4−5
7245Sensei Biotherapeutics IncCOM NEW81728A20728$65.70M+20−2
7246Siren ETF TrDIVCN LDRS ETF82965830128$31.58M+1−7
7247Themes ETF TrTRANSATLANTIC DE88292776728$27.62M+9−1
7248Thornburg ETF TrMULTI SECTOR BD88521L20728$145.66M+9−3
7249Tidal Trust IIYIELDMAX GOOGL88634T79028$47.46M+7−4
7250Ubs AG London BranchETRACS ALER MLP90274D38228$188.92M+6−1

Showing 7,2017,250 of 22,594