22,061 securities held by 13F filers in Q4 2025, ranked by institutional ownership.
| # | Stock | CUSIP | Holders | Inst. Value | New | Closed |
|---|---|---|---|---|---|---|
| 7501 | Nuveen Minn Quality Mun InmSHS | 670734102 | 23 | $6.10M | +5 | −2 |
| 7502 | Niocorp Devs Ltd*W EXP 03/17/202 | 654484153 | 23 | $9.98M | +4 | −4 |
| 7503 | Mv Oil TrTR UNITS | 553859109 | 23 | $493.4K | +5 | −5 |
| 7504 | Natural Alternatives Intl InCOM NEW | 638842302 | 23 | $7.98M | +4 | −3 |
| 7505 | Goldman Sachs ETF TrDYNAMIC CAL MUNI | 38149W564 | 23 | $124.48M | +5 | — |
| 7506 | Bolt Projs Hldgs Inc*W EXP 08/13/202 | 09769B115 | 23 | $247.3K | +3 | −2 |
| 7507 | Mink Therapeutics IncCOM NEW | 603693201 | 23 | $1.69M | +5 | — |
| 7508 | Lotus Technology Inc*W EXP 02/22/202 | 54572F119 | 23 | $263.8K | +1 | — |
| 7509 | Tcw ETF TrustARTIFICIAL INTEL | 29287L502 | 23 | $10.34M | +6 | −2 |
| 7510 | Kraneshares TrustCALIFORNIA CARB | 500767553 | 23 | $46.23M | +3 | −6 |
| 7511 | Abrdn Australia Equity Fd InCOM | 003011111 | 23 | $37.59M | +23 | — |
| 7512 | Hudson Global IncCOM NEW | 443787205 | 23 | $11.38M | +3 | −3 |
| 7513 | Lyra Therapeutics IncCOM NEW | 55234L204 | 23 | $747.3K | +3 | −6 |
| 7514 | Ss Innovations InternationalCOM NEW | 05453U203 | 23 | $3.88M | +7 | −1 |
| 7515 | Bos Better Online SolutionsSHS NEW NIS 80 | M20115180 | 23 | $5.18M | +7 | −2 |
| 7516 | Foremost Clean Energy LtdCOM | 34547F105 | 23 | $924.9K | +11 | −1 |
| 7517 | First Tr Exchng Traded Fd ViFLEXIBL MUN HIGH | 33740F508 | 23 | $8.44M | +1 | −2 |
| 7518 | First Tr Exchng Traded Fd ViVEST US EQUITY E | 33740F250 | 22 | $14.39M | +3 | −1 |
| 7519 | Tidal Trust ISP FUNDS S&P GBL | 886364769 | 22 | $15.60M | +3 | −3 |
| 7520 | Iridex CorpCOM | 462684101 | 22 | $3.19M | +3 | −2 |
| 7521 | Tidal Trust IIIMRP SYNTHEQUITY | 45259A548 | 22 | $54.17M | +8 | −3 |
| 7522 | Zentek LtdCOM | 98942X102 | 22 | $1.17M | +4 | −6 |
| 7523 | Worksport LtdCOM NEW | 98139Q308 | 22 | $3.11M | +6 | −6 |
| 7524 | In8bio IncCOM NEW | 45674E208 | 22 | $7.42M | +8 | −4 |
| 7525 | American Centy ETF TrAVANTIS ALL EQT | 025072216 | 22 | $60.42M | +4 | −2 |
| 7526 | J P Morgan Exchange Traded FFUNDAMENTAL DATA | 46654Q583 | 22 | $21.65M | +4 | −5 |
| 7527 | Southland Hldgs Inc*W EXP 02/14/202 | 84445C118 | 22 | $396.9K | +2 | −2 |
| 7528 | Ea Series TrustJLENS 500 JEWISH | 02072Q846 | 22 | $41.63M | +9 | −3 |
| 7529 | ETF Ser SolutionsUS DIVERSIFIED | 26922A511 | 22 | $19.96M | +2 | −3 |
| 7530 | Global X FdsCLEAN WTR ETF | 37954Y186 | 22 | $3.47M | +11 | −3 |
| 7531 | Exchange Traded Concepts TruROBO GBL HLTCR | 301505723 | 22 | $21.66M | +1 | −2 |
| 7532 | ETF Ser SolutionsCLEARSHS ULTRA | 26922A453 | 22 | $68.83M | +3 | −3 |
| 7533 | Io Biotech IncCOM | 449778109 | 22 | $4.77M | +5 | −4 |
| 7534 | Esh Acquisition CorpRIGHT 99/99/9999 | 296424112 | 22 | $2.00M | — | — |
| 7535 | Aim ETF Products TrustUS LRGCP B10 NOV | 00888H851 | 22 | $20.53M | +8 | −4 |
| 7536 | Aim ETF Products TrustUS LARCP B10 MAR | 00888H810 | 22 | $15.55M | +4 | −1 |
| 7537 | Aim ETF Products TrustUS LARCP B10 MAY | 00888H760 | 22 | $10.60M | +4 | −2 |
| 7538 | Verifyme IncCOM NEW | 92346X206 | 22 | $679.4K | +5 | −7 |
| 7539 | Aim ETF Products TrustALLIANZIM U S LA | 00888H679 | 22 | $31.06M | +3 | −6 |
| 7540 | Aim ETF Products TrustALLIANZIM US EQ | 00888H497 | 22 | $35.57M | +2 | −3 |
| 7541 | Aim ETF Products TrustALLIANZIM BUFFER | 00888H463 | 22 | $31.86M | +6 | −1 |
| 7542 | Prosus NV -Spon AdrADR | 74365P108 | 22 | $13.29M | +3 | −1 |
| 7543 | Hoth Therapeutics IncCOM NEW | 44148G204 | 22 | $989.7K | +5 | −8 |
| 7544 | Advisors Inner Circle Fd IIIDEMCRATIC LG ETF | 00774Q346 | 22 | $10.94M | +5 | −1 |
| 7545 | Urban-Gro IncCOM NEW | 91704K202 | 22 | $202.5K | +4 | −7 |
| 7546 | Ssga Active TrSPDR NUVEEN MUN | 78470P705 | 22 | $16.17M | +5 | −3 |
| 7547 | Smart Sh Global LtdADS | 83193E102 | 22 | $9.53M | +7 | −9 |
| 7548 | Aprea Therapeutics IncCOM NEW | 03836J201 | 22 | $1.45M | +5 | −6 |
| 7549 | Morgan Stanley Pathway FdsLARGE CAP EQTY | 61769L858 | 22 | $2.52B | +9 | −8 |
| 7550 | Ab Active Etfs IncCONSERVATIVE | 00039J806 | 22 | $827.37M | +4 | — |