FBInvestor
Institutional Research

Stocks & Institutional Ownership

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

#StockCUSIPHoldersInst. ValueNewClosed
21751Aura Minerals IncPUTG069739521$0+1
21752Baiya Intl Group IncSHS NEWG070641191$9+1−1
21753Atlantica Sustainable Infr PSHSG0751N1031$22
21754Bank Ireland Group PLC Ord ShsCOMMONG0756R1091$1.2K
21755Aib Group PLC OrdfEquityG0R4HJ1061$416
21756Aa Mission Acquisition CorpORD SHS CL AG1000R1011$213.4K−37
21757Biohaven LtdPUTG1110E9571$433
21758Biohaven Pharmaceutical Holding Co LtdCOMG111961051$19.70M−1
21759Biohaven Pharmaceutical Holding Co. LtdCommonG111OE1071$513.7K+1
21760Bitdeer Technologies GroupCL A ORD SHSG114489001$3.1K
21761Bitdeer Technologies GroupCL A ORD SHSG114489501$636
21762Bit Digital, IncFIXED INCOMEG1144AAA31$188.3K+1
21763Beijingwest IndsCOMMON STKG1145N1141$30
21764Accenture LtdCOMG1150G1111$33−1
21765Accenture PLC IrelandCALLG1151C9011$4.3K−1
21766Accenture PLC IrelandPUTG1151C9511$2.4K−1
21767Belmond LtdCL AG1154H1071$25
21768Bluemont Hldgs LtdCOM CL BG1194L1181$211.7K−1
21769Bodycote PLC ComCOMG1214R1111$139.1K
21770Bp PLCADRG127931081$1.21M+1
21771Biopharma Credit PLCCOMG128081041$839.7K
21772Blue Ocean Acquisition Corp*W EXP 12/02/202G1330L1211$139
21773British American Tobacco PLCCOMG1510J1021$1.19M
21774Brookfield Asset Mgmt ReinsCL A EXCH LT VTGG161691071$25.1K
21775Brookfield Prpty Ptnrs LP 6.5PREFERREDG162491491$1.6K
21776Brightsphere Investment GroupCOMMON STOCK-FOG1644T1091$12
21777Brillia IncSHS CL AG1645N1011$468
21778Bt Group PLCCOMG166121061$127.8K
21779BullishCALLG169109001$2.1K+1
21780Bunge LimitedCOMG169621051$3+1−1
21781Brookfield Wealth SolutionsEQUITYG174349061$360.4K
21782Carbon Revolution LtdORD SHSG1893D1021$0+1−3
21783Carbon Revolution Ltd*W EXP 99/99/999G1893D1101$252−22
21784Cartesian Growth Corp II*W EXP 07/12/202G193051201$6.0K
21785Casi Pharmaceuticals IncORD SHSG1933S1011$25−15
21786Cardtronics PLCCOMMON STOCK-FOG1991C1051$39
21787Cazoo Group LtdCOMG2007L1211$0
21788Chailease Holding Co Ltd Twd 10.0COMG202881091$448.6K
21789Chain Bridge I*W EXP 11/10/202G2061X1101$355
21790Chenghe Acquisition Co*W EXP 04/22/202G2086M1231$588
21791Chenghe Acquisition II Co*W EXP 05/30/203G208731161$2.3K
21792Chill Brands Group PLCCommon StockG2105G1071$189
21793Ridgetech Inc Shs NewStockG2124G2031$0+1
21794Churchill Cap Corp XSHS CL AG2130T1081$155.5K−82
21795Cimc Enric Holdings Ltd ShsCOMG2198S1091$4.15M
21796Close Brothers Group PLCOrdinary SharesG221201021$7.94M
21797Climaterock*W EXP 99/99/999G2311X1181$24.7K
21798Compass Group PLC OrdCommon StockG232962081$153.6K
21799Convatec Group PLCCOMG239691011$126.4K
21800Cooper Industries PLCCOMMON STOCK-FOG241401081$75

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