22,061 securities held by 13F filers in Q4 2025, ranked by institutional ownership.
| # | Stock | CUSIP | Holders | Inst. Value | New | Closed |
|---|---|---|---|---|---|---|
| 1101 | Onto Innovation IncCOM | 683344105 | 485 | $7.11B | +77 | −74 |
| 1102 | Agree Rlty CorpCOM | 008492100 | 484 | $7.86B | +43 | −42 |
| 1103 | Eagle Matls IncCOM | 26969P108 | 484 | $6.20B | +54 | −60 |
| 1104 | Fs Kkr Cap CorpCOM | 302635206 | 484 | $1.19B | +68 | −70 |
| 1105 | Onemain Hldgs IncCOM | 68268W103 | 484 | $7.00B | +56 | −46 |
| 1106 | Antero Midstream CorpCOM | 03676B102 | 483 | $4.85B | +50 | −35 |
| 1107 | Gildan Activewear IncCOM | 375916103 | 483 | $9.14B | +157 | −20 |
| 1108 | Vontier CorporationCOM | 928881101 | 483 | $5.00B | +42 | −74 |
| 1109 | Watts Water Technologies IncCL A | 942749102 | 483 | $6.84B | +43 | −29 |
| 1110 | Spdr Series TrustAEROSPACE DEF | 78464A631 | 482 | $2.03B | +57 | −25 |
| 1111 | Ishares TrGLOBAL TECH ETF | 464287291 | 481 | $2.71B | +44 | −27 |
| 1112 | Bentley Sys IncCOM CL B | 08265T208 | 480 | $5.12B | +86 | −75 |
| 1113 | Hyatt Hotels CorpCOM CL A | 448579102 | 480 | $8.08B | +83 | −40 |
| 1114 | Schwab Strategic TrINTL SCEQT ETF | 808524888 | 480 | $1.94B | +53 | −33 |
| 1115 | Deutsche Bank A GNAMEN AKT | D18190898 | 480 | $22.80B | +79 | −39 |
| 1116 | Ishares TrULTRA SHORT DUR | 46434V878 | 479 | $3.52B | +34 | −35 |
| 1117 | Badger Meter IncCOM | 056525108 | 478 | $4.93B | +42 | −47 |
| 1118 | F N B CorpCOM | 302520101 | 478 | $5.10B | +65 | −39 |
| 1119 | Global X FdsDEFENSE TECH ETF | 37960A529 | 478 | $2.71B | +79 | −34 |
| 1120 | Grand Canyon Ed IncCOM | 38526M106 | 477 | $4.20B | +63 | −78 |
| 1121 | Relx PLCSPONSORED ADR | 759530108 | 477 | $3.18B | +62 | −78 |
| 1122 | Elanco Animal Health IncCOM | 28414H103 | 476 | $11.19B | +105 | −40 |
| 1123 | Marketaxess Hldgs IncCOM | 57060D108 | 476 | $6.20B | +102 | −69 |
| 1124 | Petroleo Brasileiro SA PetroSPONSORED ADR | 71654V408 | 476 | $6.71B | +60 | −56 |
| 1125 | Amentum Holdings IncCOM | 023939101 | 475 | $5.41B | +66 | −58 |
| 1126 | Cava Group IncCOM | 148929102 | 475 | $6.15B | +79 | −108 |
| 1127 | Hims & Hers Health IncCOM CL A | 433000106 | 475 | $5.85B | +65 | −121 |
| 1128 | Medical Pptys Trust IncCOM | 58463J304 | 475 | $1.68B | +70 | −54 |
| 1129 | Chart Inds IncCOM | 16115Q308 | 474 | $9.39B | +55 | −85 |
| 1130 | Darling Ingredients IncCOM | 237266101 | 474 | $5.93B | +60 | −53 |
| 1131 | Global X FdsGLOBAL X URANIUM | 37954Y871 | 474 | $2.18B | +82 | −68 |
| 1132 | Millrose Pptys IncCOM CL A | 601137102 | 474 | $4.05B | +69 | −53 |
| 1133 | Southstate Bk CorpCOM | 84472E102 | 473 | $7.25B | +73 | −47 |
| 1134 | Wayfair IncCL A | 94419L101 | 472 | $12.21B | +103 | −52 |
| 1135 | Western Un CoCOM | 959802109 | 472 | $2.87B | +78 | −65 |
| 1136 | Axis Cap Hldgs LtdSHS | G0692U109 | 472 | $7.17B | +66 | −48 |
| 1137 | Primoris Svcs CorpCOM | 74164F103 | 471 | $6.66B | +86 | −64 |
| 1138 | Sprott Physical Silver TrTR UNIT | 85207K107 | 471 | $3.31B | +76 | −30 |
| 1139 | Crispr Therapeutics AGNAMEN AKT | H17182108 | 471 | $3.81B | +73 | −51 |
| 1140 | American Homes 4 RentCL A | 02665T306 | 470 | $9.96B | +52 | −66 |
| 1141 | Bank Nova Scotia HalifaxCOM | 064149107 | 470 | $40.84B | +47 | −34 |
| 1142 | Performance Food Group CoCOM | 71377A103 | 469 | $13.92B | +53 | −67 |
| 1143 | Lithia Mtrs IncCOM | 536797103 | 468 | $7.71B | +63 | −51 |
| 1144 | Morningstar IncCOM | 617700109 | 468 | $5.16B | +80 | −58 |
| 1145 | Rubrik Inc.CL A | 781154109 | 468 | $8.57B | +95 | −74 |
| 1146 | Gxo Logistics IncorporatedCOMMON STOCK | 36262G101 | 467 | $5.87B | +52 | −43 |
| 1147 | J P Morgan Exchange Traded FMUNICIPAL ETF | 46641Q647 | 467 | $4.37B | +73 | −14 |
| 1148 | Ollies Bargain Outlet HldgsCOM | 681116109 | 467 | $7.04B | +49 | −77 |
| 1149 | Repligen CorpCOM | 759916109 | 467 | $9.13B | +73 | −59 |
| 1150 | Universal Display CorpCOM | 91347P105 | 467 | $4.50B | +57 | −81 |