FBInvestor
Institutional Research

Stocks & Institutional Ownership

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

#StockCUSIPHoldersInst. ValueNewClosed
12001Kurv ETF TrHIGH INCOME ETF5009488493$1.09M+1
12002Kuehne And Nagel Intl Unsp AdrCOM5011871083$380.6K
12003Kunlun Energy Company Ltd UnspCommon Stock50126A1013$1.43M
12004Lci IndsNOTE 1.125% 5/1501812AB73$8.43M+1−1
12005Latch IncCOM51818V1063$325−1
12006Lattice Strategies TrHARTFORD US QUAL5184168393$41.77M−1
12007Escrow Lehman Bros Hldgs Inc CCOM524ESC1003$0−1
12008Li Ning Co Ltd Unspon AdrCOM52989T1023$53.9K−1
12009Liberty Media Corp DelCOM LBTY LIV S A5312297483$1.18M−4
12010Liberty Media Corp DelCOM SER C FRMLA5312298543$9.28M+1
12011Liberty Media Corp DelCOM5312298883$6.48M+1−1
12012Listed Fds TrROUNDHILL CANNAB53656F1283$1.57M
12013Optimized Equity Income ETFETF53656G1593$35.39M
12014Listed Fds Tr21 SHARES 2X LON53656G1673$165.2K+3−1
12015Listed Fds TrYIELDS FOR YOU I53656G3573$790.9K−2
12016Litman Gregory Fds TrPOLEN CAP CHINA53700T7283$805.0K
12017Loomis Sayles Growth YEQUITY FUNDS5434871103$184.0K+1−1
12018Lottomatica Group SpaCOM54569M1013$79.2K−1
12019Lucid Group IncCOM5494981033$493−1
12020Lumine Group Inc Sub Vtg ShsCommon Stock55027C1063$46.6K+1
12021Lyft IncNOTE 0.625% 3/055087PAD63$435.3K−2
12022M &T Bk Corp DepPERP PFD J55261F8643$5.5K+1−1
12023Mfs Intl Diversification IMFA55273G2983$3.02M+1−2
12024Mfs Growth Fund-ANTF EQUITY FUNDS5529851033$322.1K
12025Mfs Growth INTF EQUITY FUNDS5529858633$573.1K−1
12026Macom Tech Solutions Hldgs INOTE 12/155405YAD23$13.97M+3
12027Macquarie ETF TrustENERGY TRANSITIO5559272013$8.91M+1
12028Macquarie ETF TrustTAX FREE USA SRT5559273003$5.50M+2
12029Nomura ETF TrFOCUSED INTERNAT5559276073$31.42M−2
12030Nomura ETF TrTRANSFORMATIONAL5559278623$51.14M+3
12031Sphere Entertainment CoNOTE 3.500%12/055826TAB83$91.41M+1
12032Main Street FinancialCOM56035X1083$9.73M
12033Mainstay Hy Muni IMutual Funds56063U5213$341.4K+1−1
12034Malayan BankingCommon Stock56108H1053$666.5K
12035Manager Directed PortfoliosSANJAC ALPHA COR56170L6873$1.67M+1
12036Mara Holdings IncNOTE 3/0565788AF33$9.88M+2−1
12037Mara Holdings IncNOTE 6/0565788AH93$3.67M−1
12038Medical Marijuana IncCOMMON STOCK58463A1053$27+1
12039Merchants Financial Group IncCOM5885381083$11.84M
12040Metlife IncCOM59156R5043$579.4K+1−1
12041Metlife Inc Dp PfdCommon Stock59156R8503$260.3K+1−2
12042Strategy IncNOTE 3/0594972AU53$19.77M+3
12043Microchip Technology Inc.NOTE 1.625% 2/1595017AF13$5.91M
12044Midea Group Co LtdCOM59738C1083$17.7K−1
12045Minerva Neurosciences Inc Com NewStock6033801063$2.5K
12046Bristol Myers Squibb Co Non-TrREORG STOCK604CVR0273$11+1−1
12047Mitsui Osk Lines Ltd-Uns AdrADR60685L2083$191.5K+1
12048Moncler Spa Unsponsord AdrADR60919T1003$151.1K
12049Mondi PLC Unspon AdrCOM60921V2003$474.0K
12050Morgan Stanley 6.625 Perp PfdCommon Stock61762V8383$1.66M+1−1

Showing 12,00112,050 of 22,594