22,061 securities held by 13F filers in Q4 2025, ranked by institutional ownership.
| # | Stock | CUSIP | Holders | Inst. Value | New | Closed |
|---|---|---|---|---|---|---|
| 1351 | Phillips Edison & Co IncCOMMON STOCK | 71844V201 | 408 | $3.78B | +43 | −39 |
| 1352 | Robert Half Inc.COM | 770323103 | 408 | $2.98B | +52 | −80 |
| 1353 | Spdr Series TrustNUVEEN ICE HIGH | 78464A284 | 408 | $2.10B | +39 | −24 |
| 1354 | Box IncCL A | 10316T104 | 407 | $4.14B | +42 | −47 |
| 1355 | Mdu Res Group IncCOM | 552690109 | 407 | $3.65B | +58 | −59 |
| 1356 | Middleby CorpCOM | 596278101 | 407 | $6.54B | +51 | −66 |
| 1357 | New Jersey Res CorpCOM | 646025106 | 407 | $3.49B | +44 | −45 |
| 1358 | Pimco ETF TrINTER MUN BD ACT | 72201R866 | 407 | $1.87B | +44 | −21 |
| 1359 | Spdr Series TrustBLOOMBERG SHT TE | 78468R408 | 407 | $2.93B | +42 | −39 |
| 1360 | Atlantic Un Bankshares CorpCOM | 04911A107 | 406 | $4.00B | +40 | −33 |
| 1361 | Kirby CorpCOM | 497266106 | 406 | $5.83B | +69 | −57 |
| 1362 | Ufp Industries IncCOM | 90278Q108 | 406 | $4.26B | +49 | −51 |
| 1363 | Brookfield Renewable CorpCL A EX SUB VTG | 11285B108 | 405 | $4.00B | +46 | −34 |
| 1364 | Cnx Res CorpCOM | 12653C108 | 405 | $4.82B | +77 | −29 |
| 1365 | Group 1 Automotive IncCOM | 398905109 | 405 | $4.46B | +32 | −44 |
| 1366 | Natwest Group PLCSPONS ADR | 639057207 | 405 | $3.02B | +59 | −31 |
| 1367 | Umb Finl CorpCOM | 902788108 | 405 | $7.96B | +33 | −33 |
| 1368 | Vanguard Intl Equity Index FFTSE PACIFIC ETF | 922042866 | 405 | $3.79B | +49 | −30 |
| 1369 | Celanese Corp DelCOM | 150870103 | 404 | $4.70B | +65 | −75 |
| 1370 | Ishares TrIBDS DEC28 ETF | 46435U515 | 404 | $2.65B | +37 | −23 |
| 1371 | Ishares TrIBONDS 27 ETF | 46435UAA9 | 404 | $2.49B | +34 | −23 |
| 1372 | Dxc Technology CoCOM | 23355L106 | 403 | $2.25B | +46 | −55 |
| 1373 | Msa Safety IncCOM | 553498106 | 403 | $5.11B | +37 | −44 |
| 1374 | Pgim ETF TrPGIM ULTRA SH BD | 69344A107 | 403 | $9.28B | +38 | −23 |
| 1375 | Stellantis N.VSHS | N82405106 | 403 | $10.63B | +60 | −38 |
| 1376 | Autoliv IncCOM | 052800109 | 402 | $5.39B | +54 | −34 |
| 1377 | Balchem CorpCOM | 057665200 | 402 | $4.19B | +38 | −39 |
| 1378 | Invesco Exchange Traded Fd TS&P MDCP MOMNTUM | 46137V464 | 402 | $3.23B | +45 | −15 |
| 1379 | Ishares TrGL CLEAN ENE ETF | 464288224 | 402 | $569.02M | +66 | −40 |
| 1380 | Kontoor Brands IncCOM | 50050N103 | 402 | $3.33B | +50 | −56 |
| 1381 | Post Hldgs IncCOM | 737446104 | 402 | $4.55B | +49 | −66 |
| 1382 | Teleflex IncorporatedCOM | 879369106 | 402 | $5.03B | +53 | −79 |
| 1383 | Ishares TrTRS FLT RT BD | 46434V860 | 401 | $3.48B | +37 | −33 |
| 1384 | Pjt Partners IncCOM CL A | 69343T107 | 401 | $3.34B | +48 | −39 |
| 1385 | Spdr Series TrustPORTFLI INTRMDIT | 78464A672 | 401 | $7.35B | +51 | −26 |
| 1386 | Sunrun IncCOM | 86771W105 | 401 | $4.32B | +74 | −49 |
| 1387 | Terawulf IncCOM | 88080T104 | 401 | $3.30B | +113 | −41 |
| 1388 | Aci Worldwide IncCOM | 004498101 | 400 | $4.71B | +43 | −44 |
| 1389 | Bce IncCOM NEW | 05534B760 | 400 | $9.89B | +53 | −53 |
| 1390 | Bright Horizons Fam Sol In DCOM | 109194100 | 400 | $5.55B | +54 | −63 |
| 1391 | ETF Ser SolutionsDEFIANCE QUANTUM | 26922A420 | 400 | $854.20M | +96 | −40 |
| 1392 | J P Morgan Exchange Traded FINCOME ETF | 46641Q159 | 400 | $4.08B | +48 | −19 |
| 1393 | Semtech CorpCOM | 816850101 | 400 | $7.22B | +77 | −35 |
| 1394 | Shift4 Pmts IncCL A | 82452J109 | 400 | $5.02B | +57 | −110 |
| 1395 | Bitmine Immersion TecnologieCOM NEW | 09175A206 | 399 | $3.83B | +106 | −87 |
| 1396 | Dolby Laboratories IncCOM CL A | 25659T107 | 399 | $3.65B | +46 | −55 |
| 1397 | Fidelity Comwlth TrNASDAQ COMPSIT | 315912808 | 399 | $1.60B | +32 | −27 |
| 1398 | One Gas IncCOM | 68235P108 | 399 | $4.25B | +42 | −37 |
| 1399 | Siteone Landscape Supply IncCOM | 82982L103 | 399 | $5.11B | +54 | −49 |
| 1400 | Symbotic IncCLASS A COM | 87151X101 | 399 | $6.68B | +96 | −44 |