Institutional Research
Stocks & Institutional Ownership
22,594 securities held by 13F filers in Q1 2026, ranked by institutional ownership.
| # | Stock | CUSIP | Holders | Inst. Value | New | Closed |
|---|---|---|---|---|---|---|
| 8651 | First Tr Exchange Traded FdBLOOMBERG EMMKT | 33734X754 | 14 | $9.56M | +7 | −2 |
| 8652 | First Tr Exch Trd Alphdx FdASIA EX JAPAN | 33737J109 | 14 | $22.12M | +2 | — |
| 8653 | First Tr Exchng Traded Fd ViFT VEST US EQUIT | 33740F144 | 14 | $10.34M | +3 | −4 |
| 8654 | First Tr Exchng Traded Fd ViFT VEST EMERGING | 33740F177 | 14 | $12.40M | +3 | −2 |
| 8655 | First Tr Exchng Traded Fd ViFT VEST EMERGING | 33740U471 | 14 | $3.83M | +9 | −2 |
| 8656 | First Tr Exchng Traded Fd ViCONFLUENCE BDC | 33744U303 | 14 | $8.89M | +4 | −4 |
| 8657 | Fluor CorpNOTE 1.125% 8/1 | 343412AJ1 | 14 | $51.13M | +1 | −2 |
| 8658 | Formula Systems 1985 LtdSPONSORED ADS | 346414105 | 14 | $2.87M | +2 | −3 |
| 8659 | Foxx Dev Hldgs Inc*W EXP 09/26/202 | 351665112 | 14 | $697.2K | +2 | −1 |
| 8660 | Geovax Labs IncCOM NEW 2025 | 373678705 | 14 | $434.2K | +13 | — |
| 8661 | Global X FdsINDIA ACTIVE ETF | 37960A552 | 14 | $34.20M | +2 | −1 |
| 8662 | Gold Royalty Corp*W EXP 05/31/202 | 38071H122 | 14 | $12.66M | +2 | −2 |
| 8663 | Grabagun Digital Hldgs Inc*W EXP 99/99/999 | 38387Q113 | 14 | $2.67M | +1 | −4 |
| 8664 | Graniteshares ETF Tr2X LONG MU DAILY | 38747R678 | 14 | $11.90M | +7 | −1 |
| 8665 | Halozyme Therapeutics IncNOTE 0.250% 3/0 | 40637HAD1 | 14 | $28.36M | +3 | −2 |
| 8666 | Heineken N V Fsponsored Adr 1 Adr Reps 0.5 Ord ShsCOM | 423012301 | 14 | $48.10M | +1 | — |
| 8667 | Amber Intl Hldg LtdSPON ADS NEW | 45113Y203 | 14 | $539.7K | +2 | −5 |
| 8668 | Multisensor Ai Holdings IncCOM | 456948108 | 14 | $7.76M | +4 | −10 |
| 8669 | Innovator Etfs TrustGRADIENT TACTIC | 45783Y665 | 14 | $51.20M | +2 | −2 |
| 8670 | Innovator Etfs TrustUS EQT ALRTD PLS | 45783Y806 | 14 | $6.01M | +2 | −3 |
| 8671 | Innovator Etfs TrustGROWTH 100 POWER | 45784N676 | 14 | $7.72M | +1 | −1 |
| 8672 | Iqstel IncCOM NEW | 46265G206 | 14 | $232.8K | +1 | −8 |
| 8673 | Ishares TrMSCI UK SM ETF | 46429B416 | 14 | $5.49M | +2 | −5 |
| 8674 | Ishares TrBBB RATED CORP | 46436E494 | 14 | $40.80M | +3 | −4 |
| 8675 | Ishares TrMSCI GLOBAL QUAL | 46438G497 | 14 | $195.90M | +3 | −5 |
| 8676 | Ishares TrIBONDS 1-5 YR CO | 46438G539 | 14 | $60.98M | +8 | — |
| 8677 | Kimco Rlty CorpDP CV CL N 7.25% | 49446R687 | 14 | $37.68M | +3 | −3 |
| 8678 | Kiora Pharmaceuticals IncCOM | 49721T507 | 14 | $590.8K | +4 | −8 |
| 8679 | Lgl Group IncCOM | 50186A108 | 14 | $11.72M | +3 | −3 |
| 8680 | Laboratory Corp Amer HldgsCOM NEW | 50540R409 | 14 | $11.11M | +3 | −1 |
| 8681 | Liqtech Intl IncCOM | 53632A300 | 14 | $7.23M | +1 | −3 |
| 8682 | Live Ventures IncCOM NEW | 538142308 | 14 | $1.94M | +2 | −4 |
| 8683 | Lonza Group AG Unspon AdrCOM | 54338V101 | 14 | $14.56M | +1 | −3 |
| 8684 | Lotus Technology IncSPONSORED ADR | 54572F101 | 14 | $6.61M | +4 | −1 |
| 8685 | Mks Inc.NOTE 1.250% 6/0 | 55306NAB0 | 14 | $101.18M | +4 | −3 |
| 8686 | Matthews Asia FdsEMERGING MARKETS | 577125792 | 14 | $7.18M | +3 | −1 |
| 8687 | Mexco Energy CorpCOM | 592770101 | 14 | $1.67M | +4 | −5 |
| 8688 | Northern Lts Fd Tr IVBROOKSTONE DIVID | 66537J507 | 14 | $90.81M | +4 | −7 |
| 8689 | Northern Lights Fd TrOCEAN PARK DIVER | 66538J282 | 14 | $26.18M | +5 | −2 |
| 8690 | Nuveen Missouri Qlt Mun IncCOM | 67060Q108 | 14 | $2.99M | +1 | — |
| 8691 | Nushares ETF TrGET OPP ETF | 67092P797 | 14 | $47.83M | +3 | −3 |
| 8692 | OrangeADR | 684060106 | 14 | $33.65M | +4 | −3 |
| 8693 | Pgim ETF TrJENNISON INT OPP | 69344A818 | 14 | $21.30M | +2 | −3 |
| 8694 | Pacer Fds TrMETAURUS NASDAQ | 69374H287 | 14 | $5.95M | +2 | −2 |
| 8695 | Intelligent Protection ManagCOM | 69764K106 | 14 | $294.9K | +6 | −4 |
| 8696 | Parsons Corp DelNOTE 2.625% 3/0 | 70202LAD4 | 14 | $52.85M | +2 | −3 |
| 8697 | Pluri IncCOM NEW | 72942G203 | 14 | $91.3K | — | −1 |
| 8698 | Profesionally Managed PortfoCONGRESS LRG CAP | 74316P637 | 14 | $19.14M | +4 | −2 |
| 8699 | Proshares TrMSCI EUR DIV | 74347B540 | 14 | $2.98M | — | −1 |
| 8700 | Proshares TrPSHS ULDOW30 NEW | 74347G374 | 14 | $9.15M | +3 | −3 |