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 |
|---|---|---|---|---|---|---|
| 10851 | Informa PLC Sp AdrCOM | 45672B305 | 5 | $1.74M | — | — |
| 10852 | Lendway IncCOM NEW | 45765Y204 | 5 | $619.5K | — | −4 |
| 10853 | Inno Holdings IncCOM NEW | 4576JP307 | 5 | $127.2K | +3 | −4 |
| 10854 | Interactive Strength IncCOM NEW | 45840Y500 | 5 | $82.2K | +5 | — |
| 10855 | Intl Consolidated-Spons AdrADR | 459348108 | 5 | $909.8K | — | −1 |
| 10856 | Investment Managers Ser Tr ITRADR 2X LONG SP | 46092D756 | 5 | $7.09M | +3 | −1 |
| 10857 | Invesco Actively Managed ExcINTERMEDIATE MUN | 46127B502 | 5 | $99.33M | — | −1 |
| 10858 | Exozymes IncCOM | 461874109 | 5 | $234.7K | — | −1 |
| 10859 | Ionq Inc*W EXP 10/01/202 | 46222L116 | 5 | $581.2K | +2 | −2 |
| 10860 | Ipower IncCOM NEW | 46265P206 | 5 | $47.9K | +3 | −3 |
| 10861 | Ishares TrNEUROSCIENCE AND | 46436E353 | 5 | $2.23M | +2 | — |
| 10862 | Ishares TrTOTAL USD FIXED | 46438G240 | 5 | $22.14M | +2 | −1 |
| 10863 | Ishares TrLARGE CAP 10 | 46438G273 | 5 | $15.26M | +2 | −2 |
| 10864 | Ishares TrIBONDS DEC 2045 | 46438G414 | 5 | $1.55M | +3 | −2 |
| 10865 | Ishares TrLIFEPATH TGT2060 | 46438G752 | 5 | $816.5K | +3 | −1 |
| 10866 | Ishares TrLIFEPATH RETIREM | 46438G844 | 5 | $1.52M | +1 | −1 |
| 10867 | Isuzu Motors Ltd Unspon AdrADR | 465254209 | 5 | $414.9K | +1 | −2 |
| 10868 | J P Morgan Exchange Traded FINTL DYNAMIC ETF | 46654Q534 | 5 | $9.75M | +5 | — |
| 10869 | J P Morgan Exchange Traded FUS TREASURY SECU | 46654Q542 | 5 | $50.16M | +3 | −1 |
| 10870 | Jacobs Engr Group Inc DelCOM | 469814107 | 5 | $75.05M | +1 | — |
| 10871 | James Hardie Inds PLCSPONSORED ADR | 47030M106 | 5 | $10.42M | +2 | −1 |
| 10872 | Janus Detroit Str TrHENDERSON CORPOR | 47103U779 | 5 | $23.91M | — | −1 |
| 10873 | Jeronimo Martins-Unspon AdrCOM | 476493101 | 5 | $2.94M | — | — |
| 10874 | John Hancock Exchange TradedGLOBAL SENIOR LO | 47804J669 | 5 | $600.89M | +1 | — |
| 10875 | John Hancock Exchange TradedCORE BOND ETF | 47804J693 | 5 | $2.21B | +1 | — |
| 10876 | Jpmorgan Chase 4.2 PfdPREFERRED STOCK | 48128B523 | 5 | $218.0K | +1 | −1 |
| 10877 | Jp Morgan Pfd Ser Ll PfdBond | 48128B549 | 5 | $553.4K | +2 | −3 |
| 10878 | Kbc Group NV Unsponsored AdrADR | 48241F104 | 5 | $1.41M | — | −2 |
| 10879 | Kimco Realty Corp 5.25 PfdPFD | 49446R711 | 5 | $334.6K | +2 | −1 |
| 10880 | Kirin Brewery Co AdrADR | 497350306 | 5 | $557.2K | +1 | — |
| 10881 | Klotho Neurosciences Inc*W EXP 06/21/202 | 49876K111 | 5 | $235.1K | — | −2 |
| 10882 | Knorr Bremse AG Unsponsred AdsADR | 499180107 | 5 | $3.39M | — | — |
| 10883 | Kraneshares TrustWAHED ALTERNATIV | 500767223 | 5 | $2.57M | +4 | — |
| 10884 | Kraneshares Trust2X LONG PDD DAIL | 500767330 | 5 | $321.8K | +5 | −2 |
| 10885 | Lci IndsNOTE 3.000% 3/0 | 501812AD3 | 5 | $67.39M | +5 | — |
| 10886 | Lakeside Hldg LtdCOM | 51216F109 | 5 | $200.7K | +2 | −4 |
| 10887 | Lazard Active ETF TrEQUITY MEGATREND | 52110K202 | 5 | $12.49M | +1 | — |
| 10888 | Lemaitre Vascular IncNOTE 2.500% 2/0 | 525558AB8 | 5 | $18.71M | +4 | — |
| 10889 | Leonardo S P A Unsponsored AdrADR | 52660W101 | 5 | $630.0K | +2 | −1 |
| 10890 | Listed Fds TrALPHADROID BROAD | 53656H769 | 5 | $10.48M | +3 | −1 |
| 10891 | Mdb Cap Hldgs LLCCL A | 55285N109 | 5 | $543.0K | +2 | −2 |
| 10892 | Mfs Value INTF EQUITY FUNDS | 552983694 | 5 | $1.28M | +1 | −1 |
| 10893 | Madison Etfs TrustMADISON COVERED | 557441409 | 5 | $33.71M | +1 | −1 |
| 10894 | Marriott Vacations WorldwideNOTE 3.250%12/1 | 57164YAF4 | 5 | $41.51M | +2 | −3 |
| 10895 | Matthews Asia FdsEMERGING MKT DIS | 577125743 | 5 | $14.73M | — | — |
| 10896 | Medirom Healthcare Tech IncSPONSORED ADS | 58510H103 | 5 | $54.8K | +2 | — |
| 10897 | Metlife Inc 5.625PREFERRED STOCK | 59156R876 | 5 | $918.3K | +2 | −1 |
| 10898 | Strategy IncNOTE 12/0 | 594972AS0 | 5 | $13.45M | +3 | −1 |
| 10899 | Mitsui Fudosan Unspon AdrCOM | 60683M109 | 5 | $866.0K | — | — |
| 10900 | Mobilicom Ltd*W EXP 08/31/202 | 60742B110 | 5 | $452.6K | +1 | −2 |