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Institutional Research

Stocks & Institutional Ownership

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

#StockCUSIPHoldersInst. ValueNewClosed
13551Treasury Wine Estates AdrCOM89465J1092$104.9K−2
13552Treehouse Foods IncCOM89469A1042$23.5K−230
13553Yum Brands Inc. (Formerly TricCOMMON STOCK8959531072$991
13554Trinity Bank Na (Tx)Com89641T1042$1.14M+1
13555Truist Finl Corp DepPREFERRED STOCKS89832Q8102$67.8K−1
13556Truth Social FundsAMERICAN RED STA89844T5052$23.7K+2
13557Tusimple Hldgs IncCOM90089L1082$323−1
135582023 ETF Series TrustPICTET AI ENHANC9009347872$50.82M+2
135592023 ETF Series TrustPICTET CLEANER P9009348032$2.84M−1
1356021shares Solana ETFCOM SH BEN INT90137M1082$849+2−3
1356121shares Sui ETFETP90137U1002$2.18M+2
1356226 Capital Acq-A EquityCOM90138P1002$115.5K
13563Gmo ETF TrustGMO DOMESTIC RES90139K8602$29.33M+1−1
13564Holbrook Income IBOND FUNDS90213U2302$285.0K+1
13565Ucbh Holdings Inc ComCOM90262T3082$29
13566Ubs AG London BranchETRACS LKD ETN90269A2782$1.47M+1−1
13567Umb Finl Corp 7.750Common Stock9027884052$8.3K+1−2
13568Ubs AG London BranchCAL LKD 5190278V1072$351.6K+1
13569Ubs AG London BranchNT LKD 5190278V2062$7.34M+1
13570Ubs AG London BranchCAL LKD 5190278V4042$816.8K
13571Ubs AG London BranchCAL LKD 5190278V7012$3.39M+2
13572Ubs AG London BranchCAL LKD 6190278V7682$25.7K+1
13573Uscf ETF TrSUSTAINABLE BAT90290T8412$1.25M+1−1
13574Us Bancorp Del DepCommon Stock9029738662$3.13M−1
13575Victory 500 Index MemberEQUITY FUNDS9032888842$12.5K+1
13576Usd Partners LP LPSTOK9033181032$4+1−2
13577Ultimus Managers TrWESTWOOD ENHANCE90386K5302$17.53M
13578Umicore Unsp AdrCommon Stock90420M1042$930
13579Unit Corp 27 Wtswarrants Exp 09/03/27WARRANTS9092181252$571.8K
13580United Sts Oil Fd LPPUT91232N9572$10.0K+1
13581United States Treas Bills 0.000 04/16/26 B/E Dtd 04/17/25US Treasury912797QD22$299.5K−2
13582United States Treas Bills 0.000 05/14/26 B/E Dtd 05/15/25US Treasury912797QN02$1.05M+1−2
13583United States Treas Bills 0.000 08/06/26 B/E Dtd 08/07/25US Treasury912797RG42$1.25M+1
13584Us Treasur NtFIX912828ZV52$133.4K+2
13585Us Treasu Nt 1.625 05/31ust Note Due 05/15/31NOT91282CCB52$214.0K+1
13586Us Treasur NtFIX91282CCW92$1.24M+2−1
13587Us Treasu NtFIX91282CDG32$1.50M+2−3
13588Us Treasu Nt 1.375 11/31ust Note Due 11/15/31NOT91282CDJ72$451.0K+1−1
13589Us Treasur Nt 4.5 07/26ust Note Due 07/15/26NOT91282CHM62$60.1K+2−2
13590Us Treasur Nt 4 01/31ust Note Due 01/31/31NOT91282CJX02$193.4K+1−1
13591Us Treasu Nt 4.125 03/31ust Note Due 03/31/31NOT91282CKF72$327.3K+1
13592United States Treasury Note/BondNOT91282CKS92$125.2K+1−3
13593United States Treasury Notes 4.375 07/31/26 07/31/2026 4.375TREASURY91282CLB52$75.2K+2−1
13594Us Treasur Nt 3.75 08/26ust Note Due 08/31/26TREASURY91282CLH22$190.0K+1−1
13595United States Treasury Note/BondUS Government Note/Bond91282CME82$100.4K+1
13596United States Treasury Note/BondFIX91282CMM02$126.3K+2
13597United States Treas Nts 3.750 04/30/27 B/E Dtd 04/30/25US Treasury91282CMY42$165.0K+1
13598United States Stl Corp NewCOM9129091082$407+1
13599Uol Group Limited-Sp AdrCOM91529G1052$92.5K
13600U.S. Global Nanospace IncCOM91729J1072$2+1

Showing 13,55113,600 of 22,594