FBInvestor
Institutional Research

Stocks & Institutional Ownership

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

#StockCUSIPHoldersInst. ValueNewClosed
1651Bgc Group IncCL A088929104348$2.44B+47−39
1652Cargurus IncCOM CL A141788109348$2.42B+51−58
1653Dimensional ETF TrustINTL HIGH PROFIT25434V765348$5.39B+47−13
1654Enpro IncCOM29355X107348$4.32B+49−25
1655Euronet Worldwide IncCOM298736109348$2.20B+48−58
1656Ishares TrCALIF MUN BD ETF464288356348$2.84B+34−20
1657Mercury Sys IncCOM589378108348$3.96B+50−40
1658Vse CorpCOM918284100348$5.21B+105−20
1659Wisdomtree TrEMER MKT HIGH FD97717W315348$2.40B+32−25
1660Brookfield Infrast PartnersLP INT UNITG16252101348$9.31B+35−24
1661Embraer S.A.SPONSORED ADS29082A107347$4.67B+54−51
1662Global Net Lease IncCOM NEW379378201347$1.11B+39−29
1663Leggett & Platt IncCOM524660107347$934.01M+55−44
1664Valaris LtdCL AG9460G101347$5.28B+89−74
1665Ligand Pharmaceuticals IncCOM NEW53220K504346$3.65B+48−43
1666Vanguard Scottsdale FdsLG-TERM COR BD92206C813346$4.84B+42−51
1667Western Midstream Partners LCOM UNIT LP INT958669103346$6.53B+50−28
1668Xp IncCL AG98239109346$6.09B+58−47
1669Hercules Capital IncCOM427096508345$669.61M+52−53
1670Ishares IncMSCI EMERG MRKT464286533345$1.76B+28−29
1671Telephone & Data Sys IncCOM NEW879433829345$3.73B+52−38
1672Signet Jewelers LimitedSHSG81276100345$3.18B+59−41
1673California Res CorpCOM STOCK13057Q305344$5.62B+69−40
1674Capital Group Intl Focus EqtSHS CREATION UNI14019W109344$3.87B+38−18
1675Pilgrims Pride CorpCOM72147K108344$1.41B+46−66
1676Prestige Consmr Healthcare ICOM74112D101344$2.68B+46−43
1677Shift4 Pmts IncCL A82452J109344$2.84B+54−106
1678Skywest IncCOM830879102344$2.86B+30−60
1679Crane Nxt CoCOM224441105343$1.93B+50−52
1680Golub Cap Bdc IncCOM38173M102343$1.41B+48−53
1681Nice LtdSPONSORED ADR653656108343$3.28B+44−56
1682United Cmnty Bks Blairsvle GCOM90984P303343$2.70B+46−25
1683Adtalem Global Ed IncCOM00737L103342$3.27B+38−56
1684Atmus Filtration TechnologieCOM04956D107342$3.87B+62−27
1685Csw Industrials IncCOM126402106342$3.60B+39−39
1686Trip Com Group LtdADS89677Q107342$7.18B+52−74
1687Vaneck ETF TrustJP MRGAN EM LOC92189H300342$3.31B+62−42
1688Vaneck ETF TrustHIGH YLD MUNIETF92189H409342$2.91B+42−37
1689Cleanspark IncCOM NEW18452B209341$1.62B+55−80
1690Descartes Sys Group IncCOM249906108341$3.96B+52−53
1691Ishares TrCHINA LG-CAP ETF464287184341$5.49B+45−80
1692Ishares TrGLOBAL ENERG ETF464287341341$1.63B+75−25
1693Corcept Therapeutics IncCOM218352102340$2.44B+62−101
1694Ies Hldgs IncCOM44951W106340$8.57B+47−43
1695Invesco Exch Traded Fd Tr IIS&P500 HDL VOL46138E362340$1.07B+39−25
1696Ptc Therapeutics IncCOM69366J200340$5.72B+52−54
1697Par Pac Holdings IncCOM NEW69888T207340$2.82B+70−38
1698Q2 Hldgs IncCOM74736L109340$2.52B+60−61
1699Tri Pointe Homes IncCOM87265H109340$3.21B+80−78
1700United Nat Foods IncCOM911163103340$2.13B+71−37

Showing 1,6511,700 of 22,594