22,061 securities held by 13F filers in Q4 2025, ranked by institutional ownership.
| # | Stock | CUSIP | Holders | Inst. Value | New | Closed |
|---|---|---|---|---|---|---|
| 2601 | Hanmi Finl CorpCOM NEW | 410495204 | 217 | $672.56M | +41 | −13 |
| 2602 | Veris Residential IncCOM | 554489104 | 217 | $1.13B | +26 | −14 |
| 2603 | Opko Health IncCOM | 68375N103 | 217 | $247.95M | +26 | −34 |
| 2604 | Pacer Fds TrGLOBL CASH ETF | 69374H709 | 217 | $1.55B | +18 | −11 |
| 2605 | Triple Flag Precious MetalCOM | 89679M104 | 217 | $5.72B | +40 | −27 |
| 2606 | Burford Cap LtdORD SHS | G17977110 | 217 | $7.18B | +42 | −30 |
| 2607 | Applied Optoelectronics IncCOM | 03823U102 | 216 | $1.57B | +62 | −24 |
| 2608 | Ishares TrMSCI EURO FL ETF | 464289180 | 216 | $2.65B | +40 | −33 |
| 2609 | Lgi Homes IncCOM | 50187T106 | 216 | $843.19M | +30 | −51 |
| 2610 | Xplr Infrastructure LPCOM UNIT PART IN | 65341B106 | 216 | $534.72M | +20 | −34 |
| 2611 | Sezzle IncCOM | 78435P105 | 216 | $775.24M | +50 | −44 |
| 2612 | Venture Global IncCOM CL A | 92333F101 | 216 | $3.17B | +68 | −62 |
| 2613 | Vir Biotechnology IncCOM | 92764N102 | 216 | $689.21M | +26 | −27 |
| 2614 | Blackberry LtdCOM | 09228F103 | 215 | $1.02B | +32 | −30 |
| 2615 | Diversified Healthcare TrCOM SH BEN INT | 25525P107 | 215 | $842.94M | +27 | −19 |
| 2616 | Jbg Smith PptysCOM | 46590V100 | 215 | $954.98M | +24 | −33 |
| 2617 | Mister Car Wash IncCOM | 60646V105 | 215 | $1.84B | +43 | −38 |
| 2618 | Preferred Bk Los Angeles CaCOM NEW | 740367404 | 215 | $853.15M | +24 | −19 |
| 2619 | Unitil CorpCOM | 913259107 | 215 | $699.50M | +21 | −23 |
| 2620 | Werner Enterprises IncCOM | 950755108 | 215 | $1.89B | +34 | −49 |
| 2621 | Clarivate PLCORD SHS | G21810109 | 215 | $1.75B | +33 | −34 |
| 2622 | Wave Life Sciences LtdSHS | Y95308105 | 215 | $2.97B | +61 | −39 |
| 2623 | Cra Intl IncCOM | 12618T105 | 214 | $1.13B | +25 | −23 |
| 2624 | Cable One IncCOM | 12685J105 | 214 | $665.68M | +29 | −53 |
| 2625 | Edgewell Pers Care CoCOM | 28035Q102 | 214 | $788.30M | +28 | −36 |
| 2626 | Fidelity Covington TrustMSCI ENERGY IDX | 316092402 | 214 | $358.24M | +20 | −22 |
| 2627 | Ishares U S ETF TrSHORT MATURITY M | 46431W838 | 214 | $1.01B | +31 | −13 |
| 2628 | Pennymac Mtg Invt TrCOM | 70931T103 | 214 | $622.67M | +32 | −18 |
| 2629 | Plymouth Indl REIT IncCOM | 729640102 | 214 | $813.95M | +56 | −36 |
| 2630 | S & T Bancorp IncCOM | 783859101 | 214 | $1.01B | +24 | −16 |
| 2631 | Qifu Technology IncAMERICAN DEP | 88557W101 | 214 | $1.28B | +28 | −72 |
| 2632 | Armada Hoffler Pptys IncCOM | 04208T108 | 213 | $382.20M | +25 | −38 |
| 2633 | Dxp Enterprises IncCOM NEW | 233377407 | 213 | $1.29B | +27 | −42 |
| 2634 | Fidelity Covington TrustENHANCED LARGE | 316092113 | 213 | $2.99B | +37 | −19 |
| 2635 | Helios Technologies IncCOM | 42328H109 | 213 | $1.64B | +27 | −17 |
| 2636 | Iradimed CorpCOM | 46266A109 | 213 | $658.75M | +47 | −15 |
| 2637 | Ishares TrHIGH YLD SYSTM B | 46435G250 | 213 | $1.18B | +16 | −43 |
| 2638 | Pacific Biosciences Calif InCOM | 69404D108 | 213 | $368.65M | +38 | −30 |
| 2639 | Nordic American Tankers LimiCOM | G65773106 | 213 | $331.79M | +24 | −19 |
| 2640 | Apartment Invt & Mgmt CoCL A | 03748R747 | 212 | $619.87M | +44 | −39 |
| 2641 | Beyond Meat IncCOM | 08862E109 | 212 | $107.68M | +54 | −46 |
| 2642 | Eldorado Gold Corp NewCOM | 284902509 | 212 | $4.29B | +33 | −27 |
| 2643 | Evolent Health IncCL A | 30050B101 | 212 | $476.27M | +33 | −55 |
| 2644 | Hilltop Holdings IncCOM | 432748101 | 212 | $1.11B | +23 | −23 |
| 2645 | Ishares IncMSCI GERMANY ETF | 464286806 | 212 | $708.10M | +22 | −51 |
| 2646 | Tootsie Roll Inds IncCOM | 890516107 | 212 | $472.00M | +24 | −32 |
| 2647 | Trupanion IncCOM | 898202106 | 212 | $1.33B | +19 | −28 |
| 2648 | Vera Therapeutics IncCL A | 92337R101 | 212 | $3.45B | +56 | −18 |
| 2649 | Westamerica BancorporationCOM | 957090103 | 212 | $922.76M | +21 | −24 |
| 2650 | Onespaworld Holdings LimitedCOM | P73684113 | 212 | $2.05B | +30 | −26 |