22,061 securities held by 13F filers in Q4 2025, ranked by institutional ownership.
| # | Stock | CUSIP | Holders | Inst. Value | New | Closed |
|---|---|---|---|---|---|---|
| 1751 | Invesco Exch Traded Fd Tr IIS&P500 HDL VOL | 46138E362 | 327 | $943.17M | +22 | −29 |
| 1752 | Amicus Therapeutics IncCOM | 03152W109 | 326 | $4.51B | +86 | −42 |
| 1753 | California Wtr Svc GroupCOM | 130788102 | 326 | $1.98B | +25 | −38 |
| 1754 | Choice Hotels Intl IncCOM | 169905106 | 326 | $3.07B | +52 | −71 |
| 1755 | Freshworks IncCLASS A COM | 358054104 | 326 | $2.51B | +53 | −41 |
| 1756 | Fulton Finl Corp PaCOM | 360271100 | 326 | $2.62B | +37 | −39 |
| 1757 | Veracyte IncCOM | 92337F107 | 326 | $3.57B | +52 | −28 |
| 1758 | Ashland IncCOM | 044186104 | 325 | $2.70B | +42 | −69 |
| 1759 | Capital Group Intl Focus EqtSHS CREATION UNI | 14019W109 | 325 | $3.42B | +35 | −17 |
| 1760 | Glaukos CorpCOM | 377322102 | 325 | $6.34B | +55 | −52 |
| 1761 | Digitalbridge Group IncCL A NEW | 25401T603 | 324 | $2.56B | +75 | −54 |
| 1762 | Ishares IncMSCI BRAZIL ETF | 464286400 | 324 | $3.69B | +59 | −42 |
| 1763 | National Storage AffiliatesCOM SHS BEN IN | 637870106 | 324 | $2.04B | +41 | −41 |
| 1764 | Novanta IncCOM | 67000B104 | 324 | $4.32B | +64 | −60 |
| 1765 | Silgan Hldgs IncCOM | 827048109 | 324 | $3.76B | +47 | −68 |
| 1766 | Century Alum CoCOM | 156431108 | 323 | $3.86B | +96 | −26 |
| 1767 | Howard Hughes Holdings IncCOM | 44267T102 | 323 | $4.12B | +57 | −37 |
| 1768 | Impinj IncCOM | 453204109 | 323 | $5.35B | +51 | −53 |
| 1769 | Koninklijke Philips N VNY REGIS SHS NEW | 500472303 | 323 | $1.29B | +43 | −32 |
| 1770 | Masterbrand IncCOMMON STOCK | 57638P104 | 323 | $1.58B | +31 | −42 |
| 1771 | Warrior Met Coal IncCOM | 93627C101 | 323 | $4.10B | +76 | −26 |
| 1772 | Western Midstream Partners LCOM UNIT LP INT | 958669103 | 323 | $6.18B | +58 | −25 |
| 1773 | Ambarella IncSHS | G037AX101 | 323 | $2.47B | +46 | −53 |
| 1774 | Millicom Intl Cellular S ACOM STK | L6388F110 | 323 | $3.59B | +81 | −29 |
| 1775 | First Tr Exchange Traded FdDORSEY WRT 5 ETF | 33738R605 | 322 | $2.27B | +29 | −18 |
| 1776 | O-I Glass IncCOM | 67098H104 | 322 | $2.12B | +62 | −25 |
| 1777 | Silicon Laboratories IncCOM | 826919102 | 322 | $4.25B | +29 | −39 |
| 1778 | Visteon CorpCOM NEW | 92839U206 | 322 | $2.66B | +46 | −51 |
| 1779 | Capri Holdings LimitedSHS | G1890L107 | 322 | $2.79B | +50 | −34 |
| 1780 | Dimensional ETF TrustINTL HIGH PROFIT | 25434V765 | 321 | $4.59B | +27 | −16 |
| 1781 | Integer Hldgs CorpCOM | 45826H109 | 321 | $2.79B | +49 | −66 |
| 1782 | Nuveen Pfd & Income OpportunCOM | 67073B106 | 321 | $497.71M | +27 | −20 |
| 1783 | Pitney Bowes IncCOM | 724479100 | 321 | $1.23B | +45 | −45 |
| 1784 | Invesco Exch Trd Slf Idx FdBULETSHS 2029 | 46138J577 | 320 | $2.00B | +36 | −13 |
| 1785 | Ishares IncMSCI GBL MIN VOL | 464286525 | 320 | $2.04B | +32 | −23 |
| 1786 | New Gold Inc CdaCOM | 644535106 | 320 | $3.65B | +90 | −62 |
| 1787 | Acushnet Hldgs CorpCOM | 005098108 | 319 | $2.64B | +31 | −24 |
| 1788 | Eos Energy Enterprises IncCOM CL A | 29415C101 | 319 | $1.94B | +86 | −45 |
| 1789 | Four Corners Ppty Tr IncCOM | 35086T109 | 319 | $2.45B | +34 | −33 |
| 1790 | Rev Group IncCOM | 749527107 | 319 | $2.76B | +79 | −57 |
| 1791 | T Rowe Price ETF IncCAP APPRECIATION | 87283Q867 | 319 | $3.65B | +28 | −13 |
| 1792 | Amer Sports IncCOM SHS | G0260P102 | 319 | $5.02B | +66 | −67 |
| 1793 | Perrigo Co PLCSHS | G97822103 | 319 | $1.77B | +69 | −83 |
| 1794 | Asbury Automotive Group IncCOM | 043436104 | 318 | $4.46B | +34 | −49 |
| 1795 | Boise Cascade Co DelCOM | 09739D100 | 318 | $2.57B | +42 | −59 |
| 1796 | California Res CorpCOM STOCK | 13057Q305 | 318 | $4.11B | +47 | −71 |
| 1797 | Iridium Communications IncCOM | 46269C102 | 318 | $1.56B | +53 | −60 |
| 1798 | Kulicke & Soffa Inds IncCOM | 501242101 | 318 | $2.08B | +50 | −29 |
| 1799 | Potlatchdeltic CorporationCOM | 737630103 | 318 | $2.62B | +42 | −56 |
| 1800 | Servisfirst Bancshares IncCOM | 81768T108 | 318 | $2.84B | +40 | −34 |