22,061 securities held by 13F filers in Q4 2025, ranked by institutional ownership.
| # | Stock | CUSIP | Holders | Inst. Value | New | Closed |
|---|---|---|---|---|---|---|
| 1601 | Exponent IncCOM | 30214U102 | 351 | $3.24B | +40 | −48 |
| 1602 | Frontdoor IncCOM | 35905A109 | 351 | $3.96B | +29 | −55 |
| 1603 | Penn Entertainment IncCOM | 707569109 | 351 | $1.90B | +58 | −56 |
| 1604 | Ul Solutions IncCLASS A COM SHS | 903731107 | 351 | $5.96B | +96 | −30 |
| 1605 | Zoominfo Technologies IncCOMMON STOCK | 98980F104 | 351 | $2.64B | +50 | −55 |
| 1606 | White Mtns Ins Group LtdCOM | G9618E107 | 351 | $4.43B | +45 | −34 |
| 1607 | Advance Auto Parts IncCOM | 00751Y106 | 350 | $2.48B | +41 | −65 |
| 1608 | Bruker CorpCOM | 116794108 | 350 | $6.03B | +70 | −57 |
| 1609 | Home Bancshares IncCOM | 436893200 | 350 | $3.73B | +39 | −40 |
| 1610 | Otter Tail CorpCOM | 689648103 | 350 | $2.21B | +38 | −32 |
| 1611 | Ssga Active ETF TrSPDR TR TACTIC | 78467V848 | 350 | $3.21B | +40 | −29 |
| 1612 | Csw Industrials IncCOM | 126402106 | 349 | $4.67B | +48 | −48 |
| 1613 | Cousins Pptys IncCOM NEW | 222795502 | 349 | $4.33B | +35 | −41 |
| 1614 | Ishares TrIBONDS DEC 29 | 46436E205 | 349 | $2.60B | +41 | −22 |
| 1615 | Peabody Energy CorpCOM | 704551100 | 349 | $3.53B | +72 | −38 |
| 1616 | Cavco Inds Inc DelCOM | 149568107 | 348 | $4.29B | +48 | −26 |
| 1617 | Cipher Mining IncCOM | 17253J106 | 348 | $4.37B | +107 | −51 |
| 1618 | Descartes Sys Group IncCOM | 249906108 | 348 | $4.94B | +37 | −64 |
| 1619 | Fidelity Covington TrustMSCI HLTH CARE I | 316092600 | 348 | $1.15B | +34 | −18 |
| 1620 | Ishares IncMSCI EURZONE ETF | 464286608 | 348 | $5.48B | +49 | −24 |
| 1621 | Pbf Energy IncCL A | 69318G106 | 348 | $2.43B | +51 | −47 |
| 1622 | Primo Brands CorporationCLASS A COM SHS | 741623102 | 348 | $6.36B | +71 | −74 |
| 1623 | Champion Homes IncCOM | 830830105 | 348 | $4.94B | +64 | −32 |
| 1624 | Sylvamo CorpCOMMON STOCK | 871332102 | 348 | $1.81B | +57 | −54 |
| 1625 | Brinks CoCOM | 109696104 | 347 | $4.38B | +47 | −35 |
| 1626 | Cgi IncCL A SUB VTG | 12532H104 | 347 | $10.14B | +31 | −40 |
| 1627 | Hercules Capital IncCOM | 427096508 | 347 | $917.46M | +39 | −32 |
| 1628 | Iac IncCOM NEW | 44891N208 | 347 | $2.65B | +56 | −52 |
| 1629 | Crescent Energy CompanyCL A COM | 44952J104 | 347 | $2.36B | +69 | −30 |
| 1630 | Kraneshares TrustCSI CHI INTERNET | 500767306 | 347 | $4.41B | +81 | −75 |
| 1631 | Lemonade IncCOM | 52567D107 | 347 | $2.97B | +78 | −41 |
| 1632 | Prestige Consmr Healthcare ICOM | 74112D101 | 347 | $3.08B | +33 | −41 |
| 1633 | Southwest Gas Hldgs IncCOM | 844895102 | 347 | $5.20B | +43 | −34 |
| 1634 | Tg Therapeutics IncCOM | 88322Q108 | 347 | $3.00B | +47 | −54 |
| 1635 | Under Armour IncCL A | 904311107 | 347 | $949.36M | +54 | −72 |
| 1636 | Imperial Oil LtdCOM NEW | 453038408 | 346 | $11.14B | +48 | −36 |
| 1637 | Ligand Pharmaceuticals IncCOM NEW | 53220K504 | 346 | $3.83B | +58 | −29 |
| 1638 | Q2 Hldgs IncCOM | 74736L109 | 346 | $4.61B | +53 | −46 |
| 1639 | Neos ETF TrustNEOS S&P 500 HI | 78433H303 | 346 | $1.13B | +68 | −26 |
| 1640 | Commscope Hldg Co IncCOM | 20337X109 | 345 | $3.36B | +73 | −50 |
| 1641 | Golub Cap Bdc IncCOM | 38173M102 | 345 | $1.50B | +55 | −41 |
| 1642 | Ishares TrSELECT US REIT | 464287564 | 345 | $1.16B | +24 | −16 |
| 1643 | J P Morgan Exchange Traded FACTIVE GROWTH | 46654Q609 | 345 | $6.04B | +42 | −10 |
| 1644 | Lucid Group IncCOM NEW | 549498202 | 345 | $2.66B | +75 | −51 |
| 1645 | Spdr Index Shs FdsEURO STOXX 50 | 78463X202 | 345 | $2.74B | +33 | −29 |
| 1646 | Dorman Prods IncCOM | 258278100 | 344 | $3.04B | +38 | −43 |
| 1647 | Jetblue Awys CorpCOM | 477143101 | 344 | $1.38B | +44 | −58 |
| 1648 | Myr Group Inc DelCOM | 55405W104 | 344 | $3.23B | +57 | −41 |
| 1649 | Ptc Therapeutics IncCOM | 69366J200 | 344 | $6.73B | +82 | −37 |
| 1650 | Wisdomtree TrEMER MKT HIGH FD | 97717W315 | 344 | $2.14B | +34 | −21 |