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 |
|---|---|---|---|---|---|---|
| 15651 | Bachem Holding AGCOM | 05636G105 | 1 | $9.9K | — | — |
| 15652 | Badger DaylightingEquity | 05651W209 | 1 | $256.6K | — | — |
| 15653 | Baillie Gifford FdsINTL ALPHA FD K | 056823370 | 1 | $781.0K | — | — |
| 15654 | Bain Capital 2.550 10/13/26 26 10/13/2026 2.550 Call 09/13/2026 100.00BCO | 05684BAC1 | 1 | $66.3K | — | −1 |
| 15655 | Bain Capital Specialty Finance Inc 5.95 03/15/30 03/15/2030 5.950 Call 02/15/2030 100.00Fixed Income | 05684BAD9 | 1 | $14.5K | — | — |
| 15656 | Baird Muni Bond Fund Inst'L ClassM | 057071482 | 1 | $129.3K | — | — |
| 15657 | Baird Short-Term Muni BondMFD | 057071631 | 1 | $107.2K | — | — |
| 15658 | Baird Core Intermediate Municpl Bd InstlBOND | 057071656 | 1 | $146.5K | — | — |
| 15659 | Baird Fds Inc Ultr Sht InstlMF | 057071722 | 1 | $214.0K | — | — |
| 15660 | Baird Intermediate Bond Fund Inst'L ClassMUTUAL FUND | 057071805 | 1 | $16.3K | — | — |
| 15661 | Baird Aggregate Bond InsM | 057071854 | 1 | $7.5K | — | −2 |
| 15662 | Baird Core Plus Bond InvBOND | 057071888 | 1 | $29.4K | — | — |
| 15663 | Baker Hughes IncCOM | 057224107 | 1 | $2.0K | +1 | — |
| 15664 | Baker Hughes Ho 3 337 27 Due 12/15/27CORPORATE BONDS | 05723KAE0 | 1 | $30.6K | +1 | — |
| 15665 | Baldor ElecCOMMON STOCK | 057741100 | 1 | $64 | — | — |
| 15666 | Ballard Power Systems IncEQUITY | 058586959 | 1 | $222.3K | — | — |
| 15667 | Ballistic Recovery Sys ICOM | 058659103 | 1 | $0 | — | — |
| 15668 | Ballston Spa Bancorp IncCom | 058701103 | 1 | $1.86M | — | — |
| 15669 | Balchem CorpCOM | 058748102 | 1 | $7.6K | — | — |
| 15670 | Bally TechnologiesCOMMON STOCK | 05874B107 | 1 | $83 | — | — |
| 15671 | Baltia Airlines IncCOM | 058823105 | 1 | $38 | +1 | −1 |
| 15672 | Baltimore Gas & ElectricCOMMON STOCK | 059165100 | 1 | $28 | — | — |
| 15673 | Banc One CorpCOMMON STOCK | 059438101 | 1 | $49 | — | — |
| 15674 | Bancolombia S ASPON ADR PREF | 05968L102 | 1 | $42 | — | — |
| 15675 | Bancroft 5 3 5 375 Pfdpfd Ser APREFERRED STOCK | 059702209 | 1 | $188.2K | — | — |
| 15676 | Bank America CorpCALL | 060505904 | 1 | $58.8K | +1 | −1 |
| 15677 | Bank America CorpPUT | 060505954 | 1 | $14.7K | — | −1 |
| 15678 | Bank Of America CorpCDS | 06051XCQ3 | 1 | $225.1K | — | — |
| 15679 | Bank Of America, 4.25pct27cd Fdic Ins Due 02/22/27usCERTIFICATE DEPOSIT | 06051XQE5 | 1 | $63.3K | +1 | — |
| 15680 | Nrg Energy Ord ShsCOM | 062937750 | 1 | $13.3K | +1 | — |
| 15681 | National Grid Adr Repsg 5 Ord ShsADR | 063627440 | 1 | $7.1K | +1 | — |
| 15682 | Bank Montreal QueCALL | 063671901 | 1 | $3.4K | +1 | — |
| 15683 | Bank Montreal QuePUT | 063671951 | 1 | $3.4K | +1 | — |
| 15684 | Bank Of MontrealEQUITY | 063671952 | 1 | $12.58M | — | — |
| 15685 | Bank Of MontrealCOMMON STK | 063679344 | 1 | $3.1K | +1 | — |
| 15686 | Bank Montreal QueCAL LKD 45 | 063679377 | 1 | $1.13M | +1 | −1 |
| 15687 | Bank Montreal QueCALL BNKU 45 | 063679435 | 1 | $538.6K | — | — |
| 15688 | Bank Montreal MediumCALL LKD 41 | 06368L882 | 1 | $60.8K | +1 | — |
| 15689 | Bank Montreal 03/29/2029 4.250 Call 09/29/2026 100.00Fixed Income | 06376FE21 | 1 | $173.7K | — | — |
| 15690 | Bank Of Montreal 4.5 10/08/30 10/08/2030 4.500 Call 10/08/2026 100.00Fixed Income | 06376FE54 | 1 | $30.7K | — | — |
| 15691 | Bank BotetourtCOM | 063907208 | 1 | $5.76M | — | −1 |
| 15692 | Bank New York Co IncCOMMON STOCK | 064057102 | 1 | $41 | — | — |
| 15693 | Bank New York Mellon CorpCOM | 064058900 | 1 | $225 | +1 | — |
| 15694 | The Bank Of New Y 2.8 26 Due 05/04/26BCO | 06406FAC7 | 1 | $19.9K | — | — |
| 15695 | Bank New York Mellon Corp Medium Term Sr Sub Nt Entry Fixed Rate Note Ser J 3.000 Percent 10/30/28 B/E Dtd 10/31/16 ClbMEDIUM TERM NOTE | 06406GAA9 | 1 | $3.9K | +1 | — |
| 15696 | Bank Of Nova ScotiaEQUITY | 064149958 | 1 | $11.19M | — | — |
| 15697 | The Bank Of Nov9.41 33f Due 07/29/33FOREIGN BONDS (US $) | 064159CP9 | 1 | $28.9K | — | — |
| 15698 | Bank OzkPref | 06417N202 | 1 | $964.2K | — | — |
| 15699 | Bank One CorpCOMMON STOCK | 06423A103 | 1 | $51 | — | — |
| 15700 | North Atlantic Smaller Inv. TrCOM | 0643900GB | 1 | $622.9K | — | — |