22,061 securities held by 13F filers in Q4 2025, ranked by institutional ownership.
| # | Stock | CUSIP | Holders | Inst. Value | New | Closed |
|---|---|---|---|---|---|---|
| 901 | Camden Ppty TrSH BEN INT | 133131102 | 573 | $11.50B | +73 | −89 |
| 902 | Icici Bank LimitedADR | 45104G104 | 573 | $17.55B | +62 | −50 |
| 903 | TransunionCOM | 89400J107 | 573 | $15.76B | +78 | −71 |
| 904 | FabrinetSHS | G3323L100 | 573 | $15.39B | +95 | −39 |
| 905 | Oge Energy CorpCOM | 670837103 | 572 | $6.46B | +51 | −62 |
| 906 | Banco Santander S.A.ADR | 05964H105 | 571 | $5.21B | +79 | −36 |
| 907 | Charles Riv Labs Intl IncCOM | 159864107 | 571 | $10.18B | +96 | −79 |
| 908 | East West Bancorp IncCOM | 27579R104 | 571 | $13.60B | +70 | −42 |
| 909 | Vanguard Whitehall FdsINTL DVD ETF | 921946810 | 571 | $4.98B | +43 | −34 |
| 910 | Chewy IncCL A | 16679L109 | 570 | $13.24B | +75 | −118 |
| 911 | Spdr Series TrustS&P 600 SMCP VAL | 78464A300 | 570 | $2.62B | +36 | −36 |
| 912 | Valmont Inds IncCOM | 920253101 | 570 | $6.92B | +78 | −38 |
| 913 | Ishares Tr0-5YR HI YL CP | 46434V407 | 569 | $5.69B | +53 | −43 |
| 914 | Manhattan Associates IncCOM | 562750109 | 569 | $9.61B | +51 | −100 |
| 915 | Franklin Resources IncCOM | 354613101 | 568 | $6.49B | +65 | −86 |
| 916 | Cleveland-Cliffs Inc NewCOM | 185899101 | 567 | $5.97B | +75 | −71 |
| 917 | American Centy ETF TrINTL SMCP VLU | 025072802 | 566 | $12.07B | +61 | −30 |
| 918 | Pdd Holdings IncSPONSORED ADS | 722304102 | 566 | $45.60B | +74 | −71 |
| 919 | Jazz Pharmaceuticals PLCSHS USD | G50871105 | 566 | $9.63B | +109 | −52 |
| 920 | Interdigital IncCOM | 45867G101 | 565 | $7.42B | +62 | −67 |
| 921 | Ati IncCOM | 01741R102 | 564 | $14.36B | +127 | −35 |
| 922 | Houlihan Lokey IncCL A | 441593100 | 564 | $8.68B | +79 | −72 |
| 923 | Lyft IncCL A COM | 55087P104 | 563 | $7.30B | +87 | −74 |
| 924 | Ishares TrINTL SEL DIV ETF | 464288448 | 562 | $3.68B | +62 | −20 |
| 925 | Pimco ETF TrMULTISECTOR BD | 72201R585 | 562 | $7.97B | +93 | −21 |
| 926 | Clean Harbors IncCOM | 184496107 | 560 | $11.57B | +65 | −82 |
| 927 | Comerica IncCOM | 200340107 | 560 | $9.45B | +107 | −81 |
| 928 | Flowserve CorpCOM | 34354P105 | 560 | $8.10B | +94 | −58 |
| 929 | Spdr Series TrustPORTFOLIO INTRMD | 78464A375 | 560 | $8.44B | +39 | −52 |
| 930 | Burlington Stores IncCOM | 122017106 | 557 | $18.33B | +73 | −52 |
| 931 | Ensign Group IncCOM | 29358P101 | 557 | $8.78B | +79 | −33 |
| 932 | Vanguard World FdINDUSTRIAL ETF | 92204A603 | 557 | $3.59B | +53 | −27 |
| 933 | Applied Indl Technologies InCOM | 03820C105 | 555 | $8.54B | +57 | −56 |
| 934 | Assurant IncCOM | 04621X108 | 555 | $10.12B | +56 | −50 |
| 935 | Globus Med IncCL A | 379577208 | 554 | $9.23B | +106 | −48 |
| 936 | Dimensional ETF TrustINTL CORE EQUITY | 25434V799 | 552 | $9.45B | +63 | −14 |
| 937 | Coca-Cola Europacific PartneSHS | G25839104 | 552 | $12.95B | +69 | −51 |
| 938 | Zions Bancorporation N ACOM | 989701107 | 551 | $6.53B | +82 | −49 |
| 939 | American Airls Group IncCOM | 02376R102 | 550 | $7.02B | +71 | −79 |
| 940 | Pan Amern Silver CorpCOM | 697900108 | 550 | $9.80B | +101 | −54 |
| 941 | Sei Invts CoCOM | 784117103 | 550 | $6.80B | +57 | −56 |
| 942 | Spdr Series TrustPORTFOLIO SHORT | 78464A474 | 550 | $5.89B | +35 | −42 |
| 943 | Vanguard World FdCONSUM DIS ETF | 92204A108 | 550 | $2.84B | +43 | −34 |
| 944 | Wynn Resorts LtdCOM | 983134107 | 549 | $8.13B | +70 | −62 |
| 945 | Magnum Ice Cream Co NVORD SHS | N5505D105 | 548 | $4.33B | +528 | — |
| 946 | Oshkosh CorpCOM | 688239201 | 547 | $7.66B | +63 | −85 |
| 947 | Spdr Series TrustBLOOMBERG HIGH Y | 78468R622 | 547 | $6.56B | +50 | −57 |
| 948 | Crane CompanyCOMMON STOCK | 224408104 | 546 | $7.66B | +54 | −44 |
| 949 | Five Below IncCOM | 33829M101 | 546 | $10.61B | +101 | −62 |
| 950 | Nutanix IncCL A | 67059N108 | 546 | $12.40B | +56 | −134 |