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Institutional Research

Stocks & Institutional Ownership

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

#StockCUSIPHoldersInst. ValueNewClosed
251J P Morgan Exchange Traded FEQUITY PREMIUM46641Q3321,392$18.25B+115−84
252Western Digital CorpCOM9581021051,392$74.31B+333−99
253Cadence Design System IncCOM1273871081,378$53.94B+126−161
254Synopsys IncCOM8716071071,378$54.81B+165−166
255Regeneron PharmaceuticalsCOM75886F1071,374$57.40B+110−100
256Applovin CorpCOM CL A03831W1081,366$71.73B+129−332
257Ameriprise Finl IncCOM03076C1061,365$27.92B+97−131
258Kroger CoCOM5010441011,363$31.14B+155−130
259Metlife IncCOM59156R1081,356$26.50B+84−142
260Moodys CorpCOM6153691051,356$61.35B+127−170
261Wec Energy Group IncCOM92939U1061,353$26.68B+129−86
262Ishares TrMSCI USA MIN VOL46429B6971,350$15.58B+90−94
263Nucor CorpCOM6703461051,349$24.27B+130−95
264Vanguard Scottsdale FdsINT-TERM CORP92206C8701,349$48.05B+132−93
265Spdr Dow Jones Indl AverageUT SER 178467X1091,346$15.89B+90−111
266Cheniere Energy IncCOM NEW16411R2081,344$43.47B+260−119
267Prudential Finl IncCOM7443201021,335$16.16B+108−153
268Alibaba Group Hldg LtdSPONSORED ADS01609W1021,332$29.55B+94−182
269Vanguard Mun Bd FdsTAX EXEMPT BD9229077461,332$27.51B+98−58
270Ross Stores IncCOM7782961031,329$50.08B+209−73
271Vanguard Bd Index FdsSHORT TRM BOND9219378271,324$34.01B+98−77
272Delta Air Lines Inc DelCOM NEW2473617021,316$32.50B+151−139
273Spdr Series TrustPRTFLO S&P500 GW78464A4091,309$31.21B+72−98
274Fortinet IncCOM34959E1091,305$37.13B+129−133
275Astrazeneca PLCORDG0593M1071,305$128.10B+1241−3
276Republic Svcs IncCOM7607591001,304$32.45B+107−103
277Ishares TrCORE DIV GRWTH46434V6211,300$21.21B+85−53
278Schwab Strategic TrUS BRD MKT ETF8085241021,298$12.30B+76−68
279Vanguard Index FdsLARGE CAP ETF9229086371,297$30.34B+70−77
280Autodesk IncCOM0527691061,296$38.71B+114−216
281Idexx Labs IncCOM45168D1041,296$33.33B+104−172
282Spdr Series TrustBLOOMBERG 1-3 MO78468R6631,293$28.55B+156−79
283Vistra CorpCOM92840M1021,290$34.45B+163−182
284Simon Ppty Group Inc NewCOM8288061091,289$42.70B+103−81
285Dow IncCOM2605571031,287$17.42B+283−95
286Vaneck ETF TrustSEMICONDUCTR ETF92189F6761,287$18.73B+177−82
287Warner Bros Discovery IncCOM SER A9344231041,286$39.49B+137−139
288Energy Transfer L PCOM UT LTD PTN29273V1001,285$20.14B+114−71
289General Mls IncCOM3703341041,285$13.84B+120−218
290Edwards Lifesciences CorpCOM28176E1081,278$39.16B+93−111
291Autozone IncCOM0533321021,277$41.67B+88−127
292Airbnb IncCOM CL A0090661011,276$36.10B+154−146
293Occidental Pete CorpCOM6745991051,276$45.41B+265−90
294Select Sector Spdr TrSBI CONS DISCR81369Y4071,276$16.27B+84−155
295Equinix IncCOM29444U7001,267$71.98B+180−83
296Public Svc Enterprise Grp InCOM7445731061,264$23.82B+108−94
297Entergy Corp NewCOM29364G1031,263$40.05B+153−86
298Novo-Nordisk A SADR6701002051,262$11.28B+124−266
299Spotify Technology S ASHSL8681T1021,261$61.11B+189−237
300Exelon CorpCOM30161N1011,260$36.90B+121−98

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