FBInvestor
Institutional Research

Stocks & Institutional Ownership

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

#StockCUSIPHoldersInst. ValueNewClosed
8751Parazero Technologies LtdSHSM7S13T10214$509.6K+6−2
8752Supercom Ltd NewORD SHSM8709530914$3.71M+1−6
8753Wallbox NVCLASS A ORD SHSN9420912414$117.1K+2−5
8754Contra Abiomed Inc ComCOM003CVR01613$1+3−1
8755Absolute Shs TrWBI BBR YLD 300000400R70013$42.69M+2
8756Advisors Inner Circle Fd IIFRONTIER ASSET T00764Q58713$59.40M−3
8757Advisorshares TrPSYCHEDELICS ETF00768Y29713$575.0K+5−5
8758Advisorshares TrDORSY SHRT ETF00768Y52913$1.61M+4
8759Advisors Inner Circle Fd IIPMV ADAPTIVE RSK00791R30113$63.71M+1
8760Aim ETF Products TrustALLIANZIM US EQU00888H59613$22.95M+1−1
8761Ea Series TrustBURNEY US FCTR02072L64913$451.91M+3−1
8762Ea Series TrustGADSDN DYN MLT02072L87013$182.43M+3
8763Amplify ETF TrAMPLIFY TRAVEL T03210854013$837.9K−3
8764Amplify ETF TrAMPLIFY BLOOMBER03210857313$3.54M+2−6
8765Arcadia Biosciences IncCOM03901430313$462.8K+3−3
8766Bit Mining LimitedSPON ADR05547420913$800.4K+3−7
8767Bny Mellon ETF Trust IIACTIVE CORE BOND05613H50613$318.36M+13
8768Bank Montreal QueNT LKD 4306367956713$7.12M+5−4
8769Banzai International IncCOM CL A06682J40713$296.8K+6−7
8770Barfresh Food Group IncCOM NEW06753220013$9.97M−2
8771Bayfirst Financial CorpCOM07279B10413$2.82M+3−4
8772Beasley Broadcast Group IncCL A NEW07401420013$497.5K+2−4
8773Berkshire Hathaway CL BCOM08467020713$34.60M+1
8774Biomx IncCOM NEW09090D50913$1.19M+4−2
8775Blacksky Technology Inc*W EXP 09/09/20209263B11613$121.6K+2−1
8776Blackrock ETF TrustISHARES ENHANCED09290C82213$198.71M+8−1
8777Bogota Finl CorpCOM09723510513$1.98M+2−2
8778Braemar Hotels & Resorts Inc5.5 CUM CV PFD B10482B20013$21.49M+3−6
8779Calibercos IncCL A NEW13000T60413$169.0K+3−4
8780Cambria ETF TrVALUE MOMENTUM13206188813$82.92M+4−2
8781Cemtrex IncCOM15130G87313$781.6K+7−6
8782Central Plains Bancshares InCOM15486W10013$19.28M+1−2
8783Cheetah Mobile IncSPONSORED ADS16307520313$914.3K+1−4
8784Chugai Pharmaceutic Unsp AdrCOM17126910313$4.64M+2−2
8785Cloudflare IncNOTE 8/118915MAC113$60.05M+2−5
8786Co-Diagnostics IncCOM18976320413$91.5K+11
8787Collaborative Investmnt SerRAREVIEW SYS EQT19423L54013$40.61M+1
8788Collaborative Investmnt SerRAREVIEW DYNAMIC19423L72213$33.49M+2−1
8789Compass Group PLCADR20449X40113$2.88M−3
8790Elevation Series TrustTRUESHARES STRUC21032286313$15.31M+3−2
8791Ubs AGETRACS CRUDE OIL22539U60213$8.85M+5−1
8792Dbx ETF TrXTRACKERS FTSE23305151513$17.95M+2−4
8793Data Storage CorpCOM NEW23786R20113$682.4K+2−22
8794Direxion Shs ETF TrDLY INDL BU 3X25460E73713$7.81M+5
8795Direxion Shs ETF TrDLY AAPL BEAR 1X25461A30413$7.37M+6−3
8796Direxion Shs ETF TrCSI 300 BULL2X25490K86913$16.61M+2−3
8797Doubleline ETF TrustMULTI SECTOR INC25861R70913$58.32M+5−1
8798E On Se Sponsored AdrADR26878010313$8.37M+2−4
8799ETF Ser SolutionsAAM SLC LOW DUR26922B42813$18.69M+7−1
8800ETF Ser SolutionsDISTILLATE INTNL26922B50113$28.12M+3

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