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 |
|---|---|---|---|---|---|---|
| 10151 | Jazz Investments I LtdNOTE 3.125% 9/1 | 472145AH4 | 7 | $62.76M | +1 | −2 |
| 10152 | Jpmorgan Chase & 6 PfdPREFERRED STOCK | 48128B648 | 7 | $3.21M | — | −4 |
| 10153 | Kelly Svcs IncCL B | 488152307 | 7 | $22.1K | +3 | −1 |
| 10154 | Kerry Group PLC Sponsored AdrADR | 492460100 | 7 | $2.99M | — | — |
| 10155 | Kurv ETF TrKURV YIELD PREM | 500948401 | 7 | $1.83M | +5 | −1 |
| 10156 | Kurv ETF TrETF | 500948708 | 7 | $890.9K | +4 | −1 |
| 10157 | Kurv ETF TrSILVER ENHANCED | 500948864 | 7 | $2.35M | +5 | −1 |
| 10158 | La Rosa Hldgs CorpCOM PAR | 50172T301 | 7 | $26.7K | +7 | — |
| 10159 | Lazard Active ETF TrUS SYSTEMATIC SM | 52110K707 | 7 | $15.43M | +2 | −2 |
| 10160 | Liberty Media Corp DelDEB 4.000%11/1 | 530715AG6 | 7 | $25.7K | — | −3 |
| 10161 | Lightinthebox Hldg Co LtdSPONSORED ADR | 53225G201 | 7 | $2.46M | +1 | — |
| 10162 | Listed Fds TrSHARES SML CAP | 53656F888 | 7 | $17.42M | +1 | −1 |
| 10163 | Live Nation Entertainment InNOTE 2.875% 1/1 | 538034BC2 | 7 | $70.53M | +3 | −1 |
| 10164 | Marathon Bancorp IncCOM NEW | 565759206 | 7 | $6.82M | — | −1 |
| 10165 | Marks & Spencer PLC-AdrADR | 570912105 | 7 | $167.3K | — | −1 |
| 10166 | Matthews Intl FdsJAPAN ACTIVE ETF | 577130594 | 7 | $1.67M | +5 | −1 |
| 10167 | Biodexa Pharmaceuticals PLCSPONSORED ADS | 59564R880 | 7 | $228.0K | +1 | −2 |
| 10168 | Monotaro Co Ltd Unspons AdrCOM | 61022V107 | 7 | $53.60M | — | — |
| 10169 | Morgan Stanley Pfd A 1/1000PREFERR | 61747S504 | 7 | $7.83M | +1 | −2 |
| 10170 | Sadot Group IncCOM | 627333404 | 7 | $54.4K | +1 | −1 |
| 10171 | Natl Bank Of Canada ComCOM | 633067103 | 7 | $99.14M | +1 | −1 |
| 10172 | Neuberger Berman ETF TrustDISRUPTERS ETF | 64135A200 | 7 | $14.68M | +2 | −4 |
| 10173 | New Concept Energy IncCOM | 643611106 | 7 | $70.6K | +3 | −4 |
| 10174 | New York Life Invts Active ENYLI MACKAY MUNI | 64953X100 | 7 | $53.49M | +2 | — |
| 10175 | Nextera Energy Cap Hldgs IncNOTE 3.000% 3/0 | 65339KCY4 | 7 | $71.25M | +1 | −1 |
| 10176 | Nidec Corp AdrADR | 654090109 | 7 | $419.6K | — | — |
| 10177 | 9f IncSPON ADS NEW | 65442R208 | 7 | $52.8K | +1 | — |
| 10178 | Nippon Steel Corp Adr FADR | 65461T101 | 7 | $891.2K | — | −1 |
| 10179 | Norsk Hydro As Spons AdrADR | 656531605 | 7 | $4.07M | — | −1 |
| 10180 | Northern Lts Fd Tr IVNATIONAL SEC EME | 66537J408 | 7 | $22.02M | +1 | −1 |
| 10181 | Northern Lts Fd Tr IVBROOKSTONE INTER | 66537J804 | 7 | $60.04M | +1 | −8 |
| 10182 | Northern Lts Fd Tr IVBROOKSTONE ULTRA | 66537J887 | 7 | $67.72M | +1 | −6 |
| 10183 | Northern Lts Fd Tr IIBEACON SELECTIVE | 66538F199 | 7 | $37.93M | +2 | — |
| 10184 | Northern Lts Fd Tr IIBEACON TACTICAL | 66538F215 | 7 | $34.75M | +3 | — |
| 10185 | Northern Lts Fd Tr IIONE GLOBAL ETF | 66538F231 | 7 | $81.98M | +1 | −1 |
| 10186 | Northern Lights Fd TrOCEAN PARK DOMES | 66538J332 | 7 | $6.80M | — | −3 |
| 10187 | Nushares ETF TrNUVEEN CORE PLUS | 67092P763 | 7 | $25.81M | — | −3 |
| 10188 | Nushares ETF TrNUVEEN LARG CAP | 67092P847 | 7 | $1.50M | +2 | −1 |
| 10189 | Osi Systems IncNOTE 2.250% 8/0 | 671044AF2 | 7 | $56.30M | +1 | −3 |
| 10190 | Oak Woods Acquisition CorpCL A | 67190B104 | 7 | $9.60M | — | −8 |
| 10191 | Ormat Technologies IncNOTE 2.500% 7/1 | 686688AB8 | 7 | $59.58M | +2 | −2 |
| 10192 | Orsted A/S Unsp AdrADR | 68750L102 | 7 | $1.58M | — | — |
| 10193 | Pgim ETF TrJENNISON FOC VAL | 69344A867 | 7 | $9.54M | +2 | −1 |
| 10194 | Pgim Rock ETF TrS&P 500 BUFFER | 69420N882 | 7 | $13.03M | — | — |
| 10195 | Pandora As AdrADR | 698341302 | 7 | $176.3K | — | −1 |
| 10196 | Pernod Ricard SA - Spon AdrADR | 714264306 | 7 | $1.17M | +1 | −2 |
| 10197 | Pineapple Financial IncCOM SHS | 72303K405 | 7 | $52.3K | +4 | −3 |
| 10198 | Planet Green Hldgs CorpCOM NEW | 72703U201 | 7 | $97.9K | +5 | — |
| 10199 | Playstudios Inc*W EXP 99/99/999 | 72815G116 | 7 | $3.9K | +2 | −2 |
| 10200 | Private Bancorp Of America IncCOM | 74274F100 | 7 | $29.05M | +2 | — |