22,061 securities held by 13F filers in Q4 2025, ranked by institutional ownership.
| # | Stock | CUSIP | Holders | Inst. Value | New | Closed |
|---|---|---|---|---|---|---|
| 2751 | First Tr Exchange-Traded AlpCOM SHS | 33735J101 | 203 | $781.47M | +11 | −12 |
| 2752 | Indie Semiconductor IncCLASS A COM | 45569U101 | 203 | $707.96M | +24 | −24 |
| 2753 | Integra Lifesciences Hldgs CCOM NEW | 457985208 | 203 | $903.35M | +28 | −32 |
| 2754 | Invesco Exch Traded Fd Tr IIS&P GBL WATER | 46138E263 | 203 | $373.68M | +21 | −24 |
| 2755 | Marten Trans LtdCOM | 573075108 | 203 | $640.57M | +28 | −39 |
| 2756 | Medline IncCOM CL A | 58507V107 | 203 | $23.32B | +197 | — |
| 2757 | Safehold IncCOM | 78646V107 | 203 | $578.04M | +30 | −24 |
| 2758 | Summit Therapeutics IncCOM | 86627T108 | 203 | $1.89B | +28 | −59 |
| 2759 | Icl Group LtdSHS | M53213100 | 203 | $1.76B | +34 | −34 |
| 2760 | Arvinas IncCOM | 04335A105 | 202 | $639.57M | +29 | −31 |
| 2761 | Chime Finl IncCOM SHS CL A | 16935C109 | 202 | $7.05B | +79 | −31 |
| 2762 | Eaton Vance Tax-Managed DiveCOM | 27828N102 | 202 | $545.33M | +19 | −13 |
| 2763 | Evgo IncCL A COM | 30052F100 | 202 | $267.95M | +23 | −29 |
| 2764 | Ishares TrINTL DIV GRWTH | 46435G524 | 202 | $688.66M | +26 | −26 |
| 2765 | Liberty Broadband CorpCOM SER A | 530307107 | 202 | $738.14M | +27 | −37 |
| 2766 | Par Technology CorpCOM | 698884103 | 202 | $1.44B | +25 | −43 |
| 2767 | Postal Realty Trust IncCL A | 73757R102 | 202 | $288.67M | +33 | −15 |
| 2768 | Qcr Holdings IncCOM | 74727A104 | 202 | $1.06B | +26 | −15 |
| 2769 | Select Water Solutions IncCL A COM | 81617J301 | 202 | $1.01B | +22 | −27 |
| 2770 | Sprout Social IncCOM CL A | 85209W109 | 202 | $531.69M | +33 | −36 |
| 2771 | Trimas CorpCOM NEW | 896215209 | 202 | $1.27B | +35 | −39 |
| 2772 | United States Antimony CorpCOM | 911549103 | 202 | $296.22M | +79 | −44 |
| 2773 | Wisdomtree TrUS TOTAL DIVIDND | 97717W109 | 202 | $716.65M | +17 | −10 |
| 2774 | Avadel Pharmaceuticals PLCCOM SHS | G29687103 | 202 | $1.55B | +66 | −48 |
| 2775 | Sfl Corporation LtdSHS | G7738W106 | 202 | $354.55M | +37 | −28 |
| 2776 | Liberty Latin America LtdCOM CL C | G9001E128 | 202 | $870.41M | +30 | −21 |
| 2777 | Acco Brands CorpCOM | 00081T108 | 201 | $257.03M | +24 | −21 |
| 2778 | Brown Forman CorpCL A | 115637100 | 201 | $466.85M | +21 | −22 |
| 2779 | Ethan Allen Interiors IncCOM | 297602104 | 201 | $465.64M | +23 | −43 |
| 2780 | First Tr Exchange Traded FdBUYWRIT INCM ETF | 33738R308 | 201 | $1.09B | +27 | −14 |
| 2781 | Horizon Bancorp IncCOM | 440407104 | 201 | $654.59M | +19 | −26 |
| 2782 | Invesco Exchange Traded Fd TLARGE CAP GROWTH | 46137V746 | 201 | $888.65M | +19 | −14 |
| 2783 | Nano Nuclear Energy IncCOM | 63010H108 | 201 | $536.96M | +46 | −52 |
| 2784 | Rex American Res CorpCOM | 761624105 | 201 | $831.45M | +29 | −14 |
| 2785 | Sailpoint IncCOM | 78781J109 | 201 | $11.39B | +41 | −30 |
| 2786 | Sana Biotechnology IncCOM | 799566104 | 201 | $642.22M | +42 | −22 |
| 2787 | U Haul Holding CompanyCOM | 023586100 | 200 | $368.62M | +27 | −35 |
| 2788 | American Centy ETF TrAVANTIS US SMALL | 025072323 | 200 | $1.95B | +26 | −8 |
| 2789 | Blackrock Enhanced Equity DiCOM | 09251A104 | 200 | $284.96M | +18 | −18 |
| 2790 | Connectone Bancorp IncCOM | 20786W107 | 200 | $968.57M | +30 | −20 |
| 2791 | Invesco Actively Managed ExcTOTAL RETURN | 46090A804 | 200 | $1.68B | +15 | −15 |
| 2792 | Ishares TrMRGSTR MD CP ETF | 464288208 | 200 | $845.67M | +18 | −15 |
| 2793 | Ishares TrIBONDS 29 TRM TS | 46436E825 | 200 | $856.52M | +30 | −11 |
| 2794 | Life360 IncCOM | 532206109 | 200 | $1.62B | +43 | −50 |
| 2795 | Olema Pharmaceuticals IncCOM | 68062P106 | 200 | $2.24B | +78 | −11 |
| 2796 | Smithfield Foods IncCOM | 832248207 | 200 | $1.01B | +35 | −38 |
| 2797 | Summit Hotel Pptys IncCOM | 866082100 | 200 | $447.76M | +24 | −24 |
| 2798 | Seadrill LtdCOM | G7997W102 | 200 | $2.19B | +27 | −36 |
| 2799 | Ardagh Metal Packaging S ASHS | L02235106 | 200 | $506.45M | +26 | −28 |
| 2800 | Butterfly Network IncCOM CL A | 124155102 | 199 | $447.68M | +40 | −16 |