22,061 securities held by 13F filers in Q4 2025, ranked by institutional ownership.
| # | Stock | CUSIP | Holders | Inst. Value | New | Closed |
|---|---|---|---|---|---|---|
| 10401 | Brbi Br Partners S ASPONSORED ADR | 05616P109 | 6 | $3.01M | +4 | — |
| 10402 | Gdev IncORD SHS NEW | G6529J209 | 6 | $5.93M | +3 | — |
| 10403 | Raytech Hldg LtdSHS NEW | G7385S119 | 6 | $27.9K | +6 | — |
| 10404 | Mfs Active Exchange Traded FBLENDED RESEARCH | 55286W801 | 6 | $41.50M | +6 | — |
| 10405 | Murano Global Invts PLCSHS | G63369105 | 6 | $79.3K | +2 | — |
| 10406 | Nushares ETF TrNUVEEN LARG CAP | 67092P847 | 6 | $943.2K | +2 | −3 |
| 10407 | Mkdwell Tech IncORD SHS | G6209W108 | 6 | $61.8K | +2 | −1 |
| 10408 | Marriott Vacations WorldwideNOTE 1/1 | 57164YAD9 | 6 | $12.93M | — | −1 |
| 10409 | Proshares TrULTRA COMMUNICTN | 74347R263 | 6 | $9.86M | +1 | −2 |
| 10410 | Lianhe Sowell Intl Group LtdORD SHS | G5480C104 | 6 | $54.4K | +2 | −3 |
| 10411 | Li Bang Intl Corp IncORD SHS | G5480M102 | 6 | $50.1K | +3 | −2 |
| 10412 | Abrdn FdsULTRA SHORT MUNI | 003022274 | 6 | $1.68M | +6 | — |
| 10413 | Kaixin HldgsORD SHS | G5223X167 | 6 | $35.3K | +6 | — |
| 10414 | Huachen Ai Pkg Mgmt TechnoloSHS CL A | G4645R114 | 6 | $35.6K | +2 | −1 |
| 10415 | Highway Hldgs LtdORD | G4481U106 | 6 | $324.3K | +2 | −1 |
| 10416 | Natixis ETF Trust IIVAUGHAN NELSN SL | 63875W208 | 6 | $9.84M | +1 | — |
| 10417 | Digital Currency X TechnologORD SHS CLASS A | G4465R129 | 6 | $71.6K | +6 | — |
| 10418 | Hafnia Ltd ShsStock | G4233B109 | 6 | $927.4K | +1 | −2 |
| 10419 | Haoxin Hldgs LtdCL A | G4290D105 | 6 | $51.0K | +5 | −1 |
| 10420 | Nanovibronix IncCOM NEW | 63008J884 | 6 | $42.5K | +1 | −1 |
| 10421 | Proshares TrS&P KENSHO CLEA | 74347G515 | 6 | $1.24M | +2 | — |
| 10422 | Ishares TrLIFEPATH TGT2030 | 46438G828 | 6 | $462.5K | +5 | −1 |
| 10423 | Proshares TrBIG DATA REFINER | 74347G457 | 6 | $827.9K | — | −4 |
| 10424 | Ishares TrPARIS ALIGNED CL | 46438G729 | 6 | $38.52M | +2 | — |
| 10425 | Fgi Industries Ltd*W EXP 01/21/202 | G3302D111 | 6 | $4.25M | +1 | — |
| 10426 | Fifth Era Acquisition Corp IUNIT 99/99/9999 | G3415K127 | 6 | $20.49M | — | −3 |
| 10427 | Mobilicom Ltd*W EXP 08/31/202 | 60742B110 | 6 | $1.70M | +1 | −1 |
| 10428 | Etoiles Cap Group Co. LtdSHS CL A | G3139J109 | 6 | $1.23M | +2 | −1 |
| 10429 | Euda Health Holdings Ltd*W EXP 11/22/202 | G3142E121 | 6 | $88.0K | — | −2 |
| 10430 | Proshares TrSHRT RL EST FD | 74347G366 | 6 | $327.3K | +1 | −2 |
| 10431 | Microchip Technology Inc.NOTE 0.750% 6/0 | 595017BG8 | 6 | $1.48B | +1 | −2 |
| 10432 | Lyft IncNOTE 0.625% 3/0 | 55087PAD6 | 6 | $787.9K | +1 | — |
| 10433 | Proshares TrULTRASHORT FINA | 74347G150 | 6 | $1.58M | — | −2 |
| 10434 | Ishares TrNASDAQ-100 EX | 46438G554 | 6 | $11.68M | +1 | — |
| 10435 | Bold Eagle Acquisition CorpUNIT 99/99/9999 | G2003N113 | 6 | $7.61M | — | — |
| 10436 | Ishares TrIBONDS 1-5 YR CO | 46438G539 | 6 | $36.19M | +3 | −3 |
| 10437 | Cartesian Growth Corp IIIUNIT 02/28/2032 | G19307118 | 6 | $1.58M | +1 | −8 |
| 10438 | Cal Redwood Acquisition CorpUNIT 05/15/2030 | G17564124 | 6 | $5.78M | +1 | −5 |
| 10439 | Silexion Therapeutics CorpORD SHS NEW | G1281K130 | 6 | $35.2K | +2 | — |
| 10440 | Proshares TrDECLINE RETAIL | 74347B367 | 6 | $189.8K | +3 | — |
| 10441 | Marfrig Global Food Spon AdrADR | 56656T105 | 6 | $389.1K | — | — |
| 10442 | Berto Acquisition CorpUNIT 99/99/9999 | G1051H127 | 6 | $3.13M | +1 | −5 |
| 10443 | Livanova PLCNOTE 2.500% 3/1 | 53802LAB8 | 6 | $9.70M | +2 | — |
| 10444 | Lion Group Holding LtdSPONSORED ADS | 53620U706 | 6 | $93.2K | +5 | — |
| 10445 | Icon Energy CorpCOM NEW | Y4001C206 | 6 | $27.3K | — | −2 |
| 10446 | A Paradise Acquisition CorpUNIT 07/29/2030 | G04819127 | 6 | $5.74M | — | −13 |
| 10447 | Antalpha Platform Hldg CoSHS CL A | G0395R106 | 6 | $705.1K | +3 | −2 |
| 10448 | Aldel Finl II IncUNIT 09/26/2031 | G01558116 | 6 | $434.6K | +1 | −1 |
| 10449 | Zijin Mining Group -AdrCOM | 98953F107 | 6 | $99.4K | +2 | — |
| 10450 | Litman Gregory Fds TrPOLEN CAP EMRGNG | 53700T710 | 6 | $2.46M | +1 | — |