FBInvestor
Institutional Research

Stocks & Institutional Ownership

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

#StockCUSIPHoldersInst. ValueNewClosed
10701Robin Energy LtdORD SHS NEWY731181126$134.8K+4−2
10702000000000005$5.02B+1−4
10703Aac Technologies Holdings Inc AdrCommon Stock0003041055$113.1K
10704Ab Active Etfs IncINTL BUFFER ETF00039J8145$108.58M+2
10705Ab Active Etfs IncCORPORATE BD ETF00039J8635$22.47M+1−1
10706Abn Amro Bank NV Unsponsord AdADR00080Q1055$6.09M
10707Alps ETF TrLEVEL FOUR LARGE00162Q3535$86.78M+2
10708At&T Inc 5 Dep Rep Pfd Ser APRD00206R5085$1.04M+1−2
10709Abrdn FdsFOCUSED U S SMAL00384X2025$898.5K+1−4
10710Adecco Group AG AdrADR0067542045$2.80M
10711Advisors Inner Circle Fd IIIRAYLIANT SMDAM00775Y3555$2.31M+2−1
10712Aether Hldgs Inc NewCOM NEW00809R2025$185.4K+1−2
10713Ageas Spon AdrADR00844W2085$2.16M
10714Akanda CorpCOM NEW DEC 202500971M6015$21.2K+5−1
10715Alarm Com Hldgs IncNOTE 2.250% 6/0011642AD75$20.00M+1−1
10716Ea Series TrustCOASTAL COMPASS02072L1695$6.25M+2−1
10717Ea Series TrustSTOCKSNIPS AI PO02072L2355$8.55M+1−2
10718Ea Series TrustBRIDGES CAP TACT02072L4745$4.31M+2−2
10719Ea Series TrustBUFFERLABS US EQ02072Q3415$67.30M+2−2
10720Ea Series TrustRACWI US ETF02072Q5495$2.17M+4−1
10721Ea Series TrustRAINWATER EQUITY02072Q6305$6.60M+3−2
10722Ea Series TrustMATRIX ADVISORS02072Q8125$50.75M
10723Altshares TrustEVENT-DRIVEN ETF02210T2075$5.69M+1
10724Amphastar Pharmaceuticals InNOTE 2.000% 3/103209RAB95$928.4K+1−1
10725Amplitech Group IncRIGHT 07/18/202603211Q1355$205.3K+5
10726Amplitech Group IncRIGHT 11/20/202603211Q1435$214.7K+5
10727Angel Oak Funds TrustTOTAL RETURN ETF03463K7295$22.25M+2
10728Arkema Sponsored AdrADR0412321095$272.7K+1−3
10729Array Technologies IncNOTE 1.000%12/004271TAB65$2.77M+3−1
10730Asahi Kasei Corp Unspon AdrADR0434001005$464.5K−1
10731Bce IncPUT05534B9505$30.83M
10732Bt Brands Inc*W EXP 11/12/2020557MQ1155$55.2K+1−1
10733Bank Of Amer 5.875 PfdPREFERRED STOCK0605051955$162.3K+2−1
10734Bank Of America CorpPFD0605052295$2.37M−1
10735Bank America CorpCommon Stock0605055915$5.54M+1
10736Bank Of America PfdPFD06055H4005$300.2K+1−1
10737Bank Hapoalim B M Sponsored AdADR0625103005$1.26M−1
10738Bank Montreal MediumCAL LKD 430636794845$340.8K+4
10739Bank Montreal Que2X LEVERAGED0636798565$5.68M+2−2
10740Bank Montreal MediumMICROSE LKD 4306368L4035$1.03M+4
10741Bill Holdings IncNOTE 4/0090043AF75$7.52M+1−4
10742Birks Group IncCL A COM09088U1095$34.6K+1−5
10743Bitwise Funds TrustCOIN OPTION INCM0917486085$523.1K+3−4
10744Blackrock ETF TrustISHARES NASDAQ09290C6405$11.27M+1
10745Bondbloxx ETF TrustUSD HI YLD CONSU09789C1015$9.19M
10746Bondbloxx ETF TrustUSD HI YLD HEALT09789C4085$6.20M+1−1
10747Ernexa Therapeutics Inc*W EXP 02/04/2031140821185$195.3K+5
10748Bureau Veritas SA AdrADR12117P1095$483.4K−2
10749Caixabank S A Unsponsord AdrADR12803K1095$1.02M+1−1
10750Calamos ETF TrBITCOIN STRUCTUR12811T6705$3.11M−2

Showing 10,70110,750 of 22,594