22,061 securities held by 13F filers in Q4 2025, ranked by institutional ownership.
| # | Stock | CUSIP | Holders | Inst. Value | New | Closed |
|---|---|---|---|---|---|---|
| 3051 | Invesco Exchange Traded Fd TLARGE CAP VALUE | 46137V738 | 180 | $844.34M | +14 | −6 |
| 3052 | Ishares IncMSCI GBL ETF NEW | 46434G848 | 180 | $525.82M | +46 | −19 |
| 3053 | Janus Detroit Str TrB-BBB CLO ETF | 47103U753 | 180 | $472.40M | +15 | −29 |
| 3054 | Lendingtree Inc NewCOM | 52603B107 | 180 | $604.45M | +34 | −38 |
| 3055 | Mgp Ingredients Inc NewCOM | 55303J106 | 180 | $357.32M | +37 | −36 |
| 3056 | New York Mtg Tr IncCOM | 649604840 | 180 | $349.51M | +23 | −16 |
| 3057 | Onestream IncCL A | 68278B107 | 180 | $1.34B | +36 | −37 |
| 3058 | Pacer Fds TrMETAURUS CAP 400 | 69374H436 | 180 | $908.85M | +25 | −7 |
| 3059 | Prime Medicine IncCOM | 74168J101 | 180 | $308.38M | +41 | −26 |
| 3060 | Shutterstock IncCOM | 825690100 | 180 | $380.21M | +25 | −36 |
| 3061 | Sunopta IncCOM | 8676EP108 | 180 | $366.87M | +20 | −43 |
| 3062 | Wabash Natl CorpCOM | 929566107 | 180 | $316.78M | +38 | −29 |
| 3063 | Expro Group Holdings NVCOM | N3144W105 | 180 | $1.28B | +36 | −24 |
| 3064 | Amylyx Pharmaceuticals IncCOM | 03237H101 | 179 | $1.35B | +36 | −25 |
| 3065 | Community Tr Bancorp IncCOM | 204149108 | 179 | $632.20M | +19 | −14 |
| 3066 | Corsair Gaming IncCOM | 22041X102 | 179 | $218.40M | +30 | −35 |
| 3067 | Hinge Health IncCL A | 433313103 | 179 | $2.30B | +56 | −26 |
| 3068 | Innovator Etfs TrustUS EQTY PWR BUF | 45782C318 | 179 | $421.08M | +14 | −10 |
| 3069 | Ishares TrINTL EQTY FACTOR | 46434V274 | 179 | $2.61B | +17 | −11 |
| 3070 | Ishares TrIBONDS DEC 26 | 46435U259 | 179 | $468.80M | +13 | −16 |
| 3071 | Surgery Partners IncCOM | 86881A100 | 179 | $2.37B | +28 | −50 |
| 3072 | Trico BancsharesCOM | 896095106 | 179 | $1.06B | +19 | −7 |
| 3073 | Udemy IncCOM | 902685106 | 179 | $729.53M | +38 | −48 |
| 3074 | Universal Health Rlty IncomeSH BEN INT | 91359E105 | 179 | $333.24M | +27 | −28 |
| 3075 | Prothena Corp PLCSHS | G72800108 | 179 | $435.20M | +23 | −26 |
| 3076 | Ardmore Shipping CorpCOM | Y0207T100 | 179 | $312.71M | +28 | −18 |
| 3077 | Aspen Aerogels IncCOM | 04523Y105 | 178 | $197.45M | +36 | −58 |
| 3078 | Beazer Homes USA IncCOM NEW | 07556Q881 | 178 | $477.32M | +16 | −32 |
| 3079 | Community Health Sys Inc NewCOM | 203668108 | 178 | $326.64M | +35 | −27 |
| 3080 | Eaton Vance Tax-Managed Buy-COM | 27828Y108 | 178 | $303.79M | +13 | −21 |
| 3081 | First Tr Exchange Traded FdNASDQ ARTFCIAL | 33738R720 | 178 | $318.24M | +23 | −12 |
| 3082 | Fulgent Genetics IncCOM | 359664109 | 178 | $431.09M | +34 | −14 |
| 3083 | Invesco Exchange Traded Fd THIG YLD EQ DIV | 46137V563 | 178 | $377.08M | +8 | −27 |
| 3084 | Ishares TrIBONDS DEC 27 | 46435U283 | 178 | $499.49M | +15 | −11 |
| 3085 | New Fortress Energy IncCOM CL A | 644393100 | 178 | $190.15M | +37 | −58 |
| 3086 | Southside Bancshares IncCOM | 84470P109 | 178 | $513.14M | +21 | −20 |
| 3087 | Taseko Mines LtdCOM | 876511106 | 178 | $874.59M | +48 | −19 |
| 3088 | Voyager Technologies IncCOM CL A | 92892B103 | 178 | $765.39M | +79 | −17 |
| 3089 | Amc Networks IncCL A | 00164V103 | 177 | $290.22M | +27 | −11 |
| 3090 | Anaptysbio IncCOM | 032724106 | 177 | $1.41B | +33 | −24 |
| 3091 | Ginkgo Bioworks Holdings IncCL A NEW | 37611X209 | 177 | $267.24M | +29 | −28 |
| 3092 | Golden Entmt IncCOM | 381013101 | 177 | $477.24M | +45 | −19 |
| 3093 | Ishares TrU.S. PHARMA ETF | 464288836 | 177 | $545.75M | +37 | −13 |
| 3094 | Oil Sts Intl IncCOM | 678026105 | 177 | $324.76M | +32 | −14 |
| 3095 | Spdr Series TrustSSGA US LRG ETF | 78468R804 | 177 | $587.89M | +13 | −17 |
| 3096 | Titan Intl Inc IllCOM | 88830M102 | 177 | $451.22M | +13 | −29 |
| 3097 | Vaneck ETF TrustINTRMDT MUNI ETF | 92189H201 | 177 | $1.77B | +21 | −12 |
| 3098 | Varex Imaging CorpCOM | 92214X106 | 177 | $436.28M | +24 | −13 |
| 3099 | Weave Communications IncCOM | 94724R108 | 177 | $440.09M | +31 | −23 |
| 3100 | Klarna Group PLCSHS | G5279N105 | 177 | $5.39B | +64 | −41 |