FBInvestor
Institutional Research

Stocks & Institutional Ownership

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

#StockCUSIPHoldersInst. ValueNewClosed
8651First Tr Exchange Traded FdBLOOMBERG EMMKT33734X75414$9.56M+7−2
8652First Tr Exch Trd Alphdx FdASIA EX JAPAN33737J10914$22.12M+2
8653First Tr Exchng Traded Fd ViFT VEST US EQUIT33740F14414$10.34M+3−4
8654First Tr Exchng Traded Fd ViFT VEST EMERGING33740F17714$12.40M+3−2
8655First Tr Exchng Traded Fd ViFT VEST EMERGING33740U47114$3.83M+9−2
8656First Tr Exchng Traded Fd ViCONFLUENCE BDC33744U30314$8.89M+4−4
8657Fluor CorpNOTE 1.125% 8/1343412AJ114$51.13M+1−2
8658Formula Systems 1985 LtdSPONSORED ADS34641410514$2.87M+2−3
8659Foxx Dev Hldgs Inc*W EXP 09/26/20235166511214$697.2K+2−1
8660Geovax Labs IncCOM NEW 202537367870514$434.2K+13
8661Global X FdsINDIA ACTIVE ETF37960A55214$34.20M+2−1
8662Gold Royalty Corp*W EXP 05/31/20238071H12214$12.66M+2−2
8663Grabagun Digital Hldgs Inc*W EXP 99/99/99938387Q11314$2.67M+1−4
8664Graniteshares ETF Tr2X LONG MU DAILY38747R67814$11.90M+7−1
8665Halozyme Therapeutics IncNOTE 0.250% 3/040637HAD114$28.36M+3−2
8666Heineken N V Fsponsored Adr 1 Adr Reps 0.5 Ord ShsCOM42301230114$48.10M+1
8667Amber Intl Hldg LtdSPON ADS NEW45113Y20314$539.7K+2−5
8668Multisensor Ai Holdings IncCOM45694810814$7.76M+4−10
8669Innovator Etfs TrustGRADIENT TACTIC45783Y66514$51.20M+2−2
8670Innovator Etfs TrustUS EQT ALRTD PLS45783Y80614$6.01M+2−3
8671Innovator Etfs TrustGROWTH 100 POWER45784N67614$7.72M+1−1
8672Iqstel IncCOM NEW46265G20614$232.8K+1−8
8673Ishares TrMSCI UK SM ETF46429B41614$5.49M+2−5
8674Ishares TrBBB RATED CORP46436E49414$40.80M+3−4
8675Ishares TrMSCI GLOBAL QUAL46438G49714$195.90M+3−5
8676Ishares TrIBONDS 1-5 YR CO46438G53914$60.98M+8
8677Kimco Rlty CorpDP CV CL N 7.25%49446R68714$37.68M+3−3
8678Kiora Pharmaceuticals IncCOM49721T50714$590.8K+4−8
8679Lgl Group IncCOM50186A10814$11.72M+3−3
8680Laboratory Corp Amer HldgsCOM NEW50540R40914$11.11M+3−1
8681Liqtech Intl IncCOM53632A30014$7.23M+1−3
8682Live Ventures IncCOM NEW53814230814$1.94M+2−4
8683Lonza Group AG Unspon AdrCOM54338V10114$14.56M+1−3
8684Lotus Technology IncSPONSORED ADR54572F10114$6.61M+4−1
8685Mks Inc.NOTE 1.250% 6/055306NAB014$101.18M+4−3
8686Matthews Asia FdsEMERGING MARKETS57712579214$7.18M+3−1
8687Mexco Energy CorpCOM59277010114$1.67M+4−5
8688Northern Lts Fd Tr IVBROOKSTONE DIVID66537J50714$90.81M+4−7
8689Northern Lights Fd TrOCEAN PARK DIVER66538J28214$26.18M+5−2
8690Nuveen Missouri Qlt Mun IncCOM67060Q10814$2.99M+1
8691Nushares ETF TrGET OPP ETF67092P79714$47.83M+3−3
8692OrangeADR68406010614$33.65M+4−3
8693Pgim ETF TrJENNISON INT OPP69344A81814$21.30M+2−3
8694Pacer Fds TrMETAURUS NASDAQ69374H28714$5.95M+2−2
8695Intelligent Protection ManagCOM69764K10614$294.9K+6−4
8696Parsons Corp DelNOTE 2.625% 3/070202LAD414$52.85M+2−3
8697Pluri IncCOM NEW72942G20314$91.3K−1
8698Profesionally Managed PortfoCONGRESS LRG CAP74316P63714$19.14M+4−2
8699Proshares TrMSCI EUR DIV74347B54014$2.98M−1
8700Proshares TrPSHS ULDOW30 NEW74347G37414$9.15M+3−3

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