FBInvestor
Institutional Research

Stocks & Institutional Ownership

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

#StockCUSIPHoldersInst. ValueNewClosed
3351Genco Shipping & Trading LtdSHSY2685T131163$481.16M+28−22
3352Cadre Hldgs IncCOM12763L105162$881.05M+32−27
3353ETF Ser SolutionsUS GLB JETS26922A842162$432.72M+39−42
3354Ennis IncCOM293389102162$402.13M+21−22
3355Fidelity Covington TrustLOW VOLITY ETF316092824162$941.75M+19−17
3356Innovator Etfs TrustUS EQTY PWR BUF45782C748162$433.27M+10−15
3357Invesco Db Multi-Sector CommAGRICULTURE FD46140H106162$428.36M+49−24
3358Ishares TrCORE 30/70 CONSE464289883162$211.80M+16−18
3359Kkr Real Estate Fin Tr IncCOM48251K100162$278.70M+39−37
3360Mamas Creations IncCOM56146T103162$446.82M+27−15
3361Matthews Intl CorpCL A577128101162$669.65M+15−22
3362Riley Exploration Permian InCOM76665T102162$486.45M+39−17
3363Shutterstock IncCOM825690100162$309.09M+17−31
3364Wisdomtree TrYIELD ENHANCD US97717X511162$736.09M+14−16
3365Critical Metals CorpPUBCO ORD SHSG2662B103162$168.15M+52−25
3366Carriage Svcs IncCOM143905107161$479.22M+26−14
3367Cryoport IncCOM PAR $0.001229050307161$342.66M+17−22
3368Cytek Biosciences IncCOM23285D109161$331.66M+20−12
3369Dimensional ETF TrustINFLATION PROTE25434V856161$752.81M+20−17
3370Global Business Travel GroupCOM CL A37890B100161$1.77B+38−44
3371Hycroft Mining Holding CorpCL A NEW44862P208161$842.50M+79−19
3372Invesco Actively Managed ExcVAR RATE INVT46090A879161$1.06B+29−16
3373Ishares IncMSCI EM ASIA ETF464286426161$719.20M+23−14
3374Ishares TrIBONDS DEC 203346436E130161$765.83M+27−8
3375Maze Therapeutics IncCOM578784100161$1.47B+45−23
3376Playtika Hldg CorpCOM72815L107161$137.31M+24−44
3377Rmr Group IncCL A74967R106161$163.60M+21−24
3378Sinclair IncCL A829242106161$332.80M+29−33
3379Wisdomtree TrUS SMALLCAP FUND97717W562161$379.43M+11−11
3380Arbutus Biopharma CorpCOM03879J100160$582.50M+23−32
3381Aspen Aerogels IncCOM04523Y105160$215.88M+29−47
3382Bar Hbr BanksharesCOM066849100160$263.09M+24−15
3383Business First Bancshares InCOM12326C105160$400.96M+19−19
3384Caleres IncCOM129500104160$292.58M+22−20
3385Centessa Pharmaceuticals PLCSPONSORED ADS152309100160$5.87B+49−31
3386Corvus Pharmaceuticals IncCOM221015100160$912.72M+63−23
3387Dimensional ETF TrustGLOBAL EX US COR25434V575160$1.07B+24−8
3388ETF Ser SolutionsDEFIANCE CONNECT26922A289160$135.09M+23−18
3389Fidelity Covington TrustENHANCED LARGE31609A107160$830.02M+25−8
3390Forestar Group IncCOM346232101160$378.45M+29−31
3391Ishares TrESG ADV TTL USD46436E619160$515.81M+14−6
3392Nuveen Cr Strategies IncomeCOM SHS67073D102160$211.79M+19−20
3393W & T Offshore IncCOM92922P106160$201.69M+36−24
3394Abrdn Total Dynamic DividendCOM SH BEN INT00326L100159$246.17M+28−14
3395Capital Group InternationalSHS14021M107159$1.39B+18−12
3396Tcw ETF TrustFLEXIBLE INCOME29287L700159$2.17B+28−4
3397Esquire Finl Hldgs IncCOM29667J101159$565.44M+19−13
3398First Advantage Corp NewCOM31846B108159$1.97B+38−24
3399First Tr Exchange Traded FdNASDQ SEMCNDTR33738R811159$1.24B+33−10
3400First Tr Exchng Traded Fd ViFT VEST US EQT33740F623159$364.02M+27−9

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