FBInvestor
Institutional Research

Stocks & Institutional Ownership

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

#StockCUSIPHoldersInst. ValueNewClosed
2101Beone Medicines LtdSPONSORED ADS07725L102278$10.15B+36−37
2102First Tr Exchange-Traded FdFT VEST RIS33738D879278$1.65B+25−24
2103Galaxy Digital Inc.CL A36317J209278$2.02B+58−67
2104Innoviva IncCOM45781M101278$1.54B+41−35
2105Innovator Etfs TrustUS EQTY PWR BUF45782C508278$1.17B+46−16
2106Netscout Sys IncCOM64115T104278$1.66B+44−22
2107Nushares ETF TrNUVEEN ESG LRGCP67092P201278$1.87B+14−22
2108Nushares ETF TrNUVEEN ESG LRGVL67092P300278$1.56B+16−15
2109Orix CorpSPONSORED ADR686330101278$958.28M+60−16
2110Talos Energy IncCOM87484T108278$1.74B+57−31
2111Adient PLCORD SHSG0084W101278$1.43B+30−32
2112Abm Inds IncCOM000957100277$1.78B+36−56
2113Ea Series TrustFREEDOM 100 EM02072L607277$1.78B+63−13
2114Alphatec Hldgs IncCOM NEW02081G201277$1.14B+48−47
2115Blue Bird CorpCOM095306106277$1.67B+45−29
2116Global X FdsLITHIUM BTRY ETF37954Y855277$418.69M+42−38
2117Hci Group IncCOM40416E103277$1.47B+41−45
2118John Hancock Exchange TradedMULTIFACTOR MI47804J206277$3.34B+23−17
2119Kaiser Aluminum CorpCOM PAR $0.01483007704277$1.61B+51−29
2120Rhythm Pharmaceuticals IncCOM76243J105277$5.67B+55−49
2121Spectrum Brands Hldgs Inc NeCOM84790A105277$1.63B+56−26
2122Standex Intl CorpCOM854231107277$2.71B+34−25
2123Townebank Portsmouth VaCOM89214P109277$1.39B+55−36
2124Vanguard Wellington FdSHORT TRM TAX EX921935870277$808.23M+43−9
2125Victory Portfolios IISHARES FREE CASH92647X830277$5.15B+42−6
2126Liberty Global LtdCOM CL AG61188101277$1.90B+49−42
2127Huron Consulting Group IncCOM447462102276$1.95B+39−60
2128Iovance Biotherapeutics IncCOM462260100276$801.54M+57−38
2129Ishares TrDOW JONES US ETF464287846276$588.27M+18−17
2130Ishares TrINTRM GOV CR ETF464288612276$3.24B+26−27
2131Nexgen Energy LtdCOM65340P106276$3.00B+47−22
2132Quaker HoughtonCOM747316107276$1.66B+27−32
2133Cvb Finl CorpCOM126600105275$1.87B+48−31
2134Innovator Etfs TrustDEFINED WLT SHLD45783Y855275$1.47B+41−22
2135Intuitive Machines IncCLASS A COM46125A100275$1.73B+71−42
2136Ishares Gold TrSHARES REPRESENT46436F103275$3.15B+53−15
2137Levi Strauss & Co NewCL A COM STK52736R102275$1.32B+43−40
2138Smith & Nephew PLCSPDN ADR NEW83175M205275$972.05M+41−29
2139Uwm Holdings CorporationCOM CL A91823B109275$629.92M+57−70
2140Fs Credit Opportunities CorpCOMMON STOCK30290Y101274$319.95M+41−37
2141Ncino IncCOM63947X101274$1.60B+62−74
2142Customers Bancorp IncCOM23204G100273$2.08B+30−32
2143Vanguard Malvern FdsCORE BD ETF922020748273$5.24B+45−14
2144Bancorp Inc DelCOM05969A105272$2.02B+45−44
2145Brookdale Sr Living IncCOM112463104272$3.17B+68−26
2146Concentra Group Holdings ParCOMMON STOCK20603L102272$1.54B+44−26
2147Dimensional ETF TrustNATL MUN BD ETF25434V849272$1.73B+24−16
2148First Tr Exchng Traded Fd ViSMITH UNCONSTRAI33740F888272$2.67B+26−28
2149Hni CorpCOM404251100272$1.70B+37−64
2150Knowles CorpCOM49926D109272$1.89B+36−26

Showing 2,1012,150 of 22,594