22,061 securities held by 13F filers in Q4 2025, ranked by institutional ownership.
| # | Stock | CUSIP | Holders | Inst. Value | New | Closed |
|---|---|---|---|---|---|---|
| 9201 | Bitwise Funds TrustBITCOIN STANDARD | 091748509 | 10 | $5.22M | — | — |
| 9202 | American Funds New Perspective AMF | 648018109 | 10 | $2.41M | +1 | −1 |
| 9203 | Proshares TrULTRASHORT ETHER | 74350P550 | 10 | $6.55M | +10 | — |
| 9204 | Flanigans Enterprises IncCOM | 338517105 | 10 | $4.95M | — | −4 |
| 9205 | Invesco Exch Traded Fd Tr IINASDAQ FT GEN200 | 46138G482 | 10 | $969.8K | +4 | −1 |
| 9206 | J P Morgan Exchange Traded FHEALTHCARE LEADE | 46654Q765 | 10 | $7.32M | +2 | — |
| 9207 | Bank Montreal MediumMICROSECTORS FA | 06367V402 | 10 | $2.15M | +5 | −6 |
| 9208 | Bank Of Amer 5.375 PfdPREFERRED STOCK | 06053U601 | 10 | $1.83M | +3 | — |
| 9209 | Basf Se AdrADR | 055262505 | 10 | $2.45M | +1 | −3 |
| 9210 | Repligen CorpNOTE 1.000%12/1 | 759916AD1 | 10 | $12.43M | +2 | — |
| 9211 | Ishares TrIBONDS OCT 2032 | 46438G869 | 10 | $6.70M | +2 | — |
| 9212 | Anz Group Holdings Ltd-AdrADR | 03736N104 | 10 | $4.08M | +1 | −1 |
| 9213 | Ishares TrIBONDS OCT 2033 | 46438G851 | 10 | $7.96M | +1 | −2 |
| 9214 | Innovator Etfs TrustEQUITY AUTOCALLA | 45784N593 | 10 | $7.02M | +9 | −2 |
| 9215 | Triller Group IncCOM | 895970101 | 10 | $24.8K | +2 | −51 |
| 9216 | Ea Series TrustCAMBRIA TAX AWAR | 02072Q804 | 10 | $21.40M | — | −1 |
| 9217 | Ea Series TrustCITY DIFFNT INVT | 02072Q382 | 10 | $28.85M | +7 | — |
| 9218 | Ea Series TrustGADSDN DYN MLT | 02072L870 | 10 | $158.48M | +2 | −3 |
| 9219 | Ea Series TrustALTRIUS GBL DIV | 02072L656 | 10 | $8.45M | — | −1 |
| 9220 | Ea Series TrustMORGAN DEMPSEY L | 02072L482 | 10 | $16.54M | +2 | −2 |
| 9221 | Akzo Nobel NV Spon AdrADR | 010199503 | 10 | $54.43M | +1 | −1 |
| 9222 | Ea Series TrustSTRIVE MID CAP | 02072L250 | 10 | $13.42M | +3 | −2 |
| 9223 | Processa Pharmaceuticals IncCOM SHS | 74275C403 | 10 | $275.0K | +10 | — |
| 9224 | Equus Total Return IncCOM | 294766100 | 10 | $211.3K | +2 | — |
| 9225 | Innovator Etfs TrustPREMIUM INC 15 B | 45783Y186 | 10 | $4.03M | +3 | — |
| 9226 | Advisor Managed PortfoliosRECKONER LEVERAE | 00777X496 | 10 | $13.46M | +2 | −1 |
| 9227 | Advisors Inner Circle Fd IIIRAYLIANT QUANTIT | 00775Y728 | 10 | $31.09M | +4 | −2 |
| 9228 | Advisorshares TrVICE E T F | 00768Y545 | 10 | $113.2K | +3 | −2 |
| 9229 | Morgan Stanley ETF TrustEATON VANCE HIGH | 61774R783 | 10 | $41.00M | +4 | — |
| 9230 | Ishares TrIBONDS 2032 TERM | 46438G364 | 10 | $5.63M | +5 | −1 |
| 9231 | Ishares TrMSCI WORLD SMALL | 46438G430 | 10 | $14.99M | +4 | — |
| 9232 | Merus N VCOM | N5749R100 | 10 | $3.01M | +3 | −255 |
| 9233 | Amtd Idea GroupSPON ADS | 00180G304 | 10 | $320.6K | +3 | −2 |
| 9234 | Oculis Holding AG*W EXP 03/06/202 | H5870P110 | 10 | $2.03M | — | — |
| 9235 | Pennymac CorpNOTE 5.500% 3/1 | 70932AAF0 | 10 | $25.91M | +2 | −2 |
| 9236 | Yorkville Acquisition Corp.UNIT 06/06/2030 | G98659108 | 10 | $3.54M | +2 | −9 |
| 9237 | Yd Bio LtdSHS | G98301107 | 10 | $1.73M | +4 | −4 |
| 9238 | Pgim Rock ETF TrS&P 500 BUFFER | 69420N841 | 10 | $14.24M | +1 | — |
| 9239 | Electro-Sensors IncCOM | 285233102 | 10 | $1.78M | — | −2 |
| 9240 | Pgim Rock ETF TrS&P 500 BUFFER | 69420N791 | 10 | $12.26M | +2 | −2 |
| 9241 | Pgim Rock ETF TrS&P 500 BUFFER | 69420N866 | 10 | $22.21M | +2 | −2 |
| 9242 | Simplify Exchange Traded FunGOLD STRATEGY PL | 82889N426 | 10 | $9.59M | +5 | −3 |
| 9243 | Suncar Technology Group IncCL A | G85727108 | 10 | $506.3K | +1 | −5 |
| 9244 | Zhengye Biotechnology Hldg LORD SHS | G989MS101 | 10 | $264.8K | +2 | −2 |
| 9245 | Pgim Rock ETF TrS&P 500 BUFFER | 69420N874 | 10 | $12.82M | +1 | — |
| 9246 | Pgim Rock ETF TrS&P 500 BUFFER | 69420N783 | 10 | $28.64M | +2 | — |
| 9247 | Ishares TrENVIR AWR RL EST | 46436E270 | 10 | $3.83M | +2 | −4 |
| 9248 | Simplify Exchange Traded FunGOVERNMENT MONEY | 82889N269 | 10 | $4.38B | +5 | — |
| 9249 | Nuwellis IncCOM NEW | 67113Y702 | 10 | $227.2K | +2 | — |
| 9250 | Advisors Inner Circle Fd IIIRAYLIANT QUANTMN | 00775Y710 | 10 | $24.34M | +1 | −2 |