22,061 securities held by 13F filers in Q4 2025, ranked by institutional ownership.
| # | Stock | CUSIP | Holders | Inst. Value | New | Closed |
|---|---|---|---|---|---|---|
| 3551 | First Tr Exchng Traded Fd ViFT VEST US EQT | 33740F722 | 143 | $256.95M | +13 | −7 |
| 3552 | Msc Income Fund IncCOM | 55374X208 | 143 | $93.66M | +65 | −17 |
| 3553 | Matrix Svc CoCOM | 576853105 | 143 | $278.38M | +17 | −17 |
| 3554 | Natural Grocers By Vitamin CCOM | 63888U108 | 143 | $213.42M | +21 | −45 |
| 3555 | Northeast Bk Portland MeCOM | 66405S100 | 143 | $562.59M | +13 | −21 |
| 3556 | Ryerson Hldg CorpCOM | 783754104 | 143 | $837.62M | +22 | −26 |
| 3557 | Spdr Series TrustS&P INS ETF | 78464A789 | 143 | $521.10M | +24 | −21 |
| 3558 | Vaneck ETF TrustPHARMACEUTCL ETF | 92189F692 | 143 | $767.26M | +33 | −18 |
| 3559 | Ziprecruiter IncCL A | 98980B103 | 143 | $195.50M | +24 | −18 |
| 3560 | National Energy Services ReuSHS | G6375R107 | 143 | $904.64M | +35 | −15 |
| 3561 | Safe Bulkers IncCOM | Y7388L103 | 143 | $151.50M | +18 | −12 |
| 3562 | Abrdn Total Dynamic DividendCOM SH BEN INT | 00326L100 | 142 | $270.02M | +18 | −17 |
| 3563 | Aeva Technologies IncCOM NEW | 00835Q202 | 142 | $533.31M | +29 | −29 |
| 3564 | Backblaze IncCOM CL A | 05637B105 | 142 | $144.00M | +28 | −32 |
| 3565 | Tcw ETF TrustFLEXIBLE INCOME | 29287L700 | 142 | $1.82B | +22 | −3 |
| 3566 | Fate Therapeutics IncCOM | 31189P102 | 142 | $67.30M | +19 | −18 |
| 3567 | Fidelity Covington TrustVLU FACTOR ETF | 316092782 | 142 | $645.26M | +15 | −12 |
| 3568 | First Tr Exchng Traded Fd ViFT VEST US EQT | 33740F623 | 142 | $264.71M | +14 | −16 |
| 3569 | Ingram Micro Hldg CorpCOM | 457152106 | 142 | $5.07B | +20 | −6 |
| 3570 | Invesco Sr Income TrCOM | 46131H107 | 142 | $159.75M | +34 | −15 |
| 3571 | Maze Therapeutics IncCOM | 578784100 | 142 | $1.98B | +51 | −8 |
| 3572 | One Liberty Pptys IncCOM | 682406103 | 142 | $160.92M | +38 | −15 |
| 3573 | Rapport Therapeutics IncCOM | 75383L102 | 142 | $1.50B | +36 | −19 |
| 3574 | Talkspace IncCOM | 87427V103 | 142 | $346.74M | +20 | −18 |
| 3575 | United States Cellular CorpCOM | 911684108 | 142 | $936.09M | +27 | −29 |
| 3576 | Verastem IncCOM NEW | 92337C203 | 142 | $587.25M | +38 | −20 |
| 3577 | Aersale CorporationCOM | 00810F106 | 141 | $160.53M | +26 | −22 |
| 3578 | Banco De ChileSPONSORED ADS | 059520106 | 141 | $424.75M | +30 | −16 |
| 3579 | Capital Grp Fixed Incm ETF TMUNICIPAL HIGH I | 14020Y805 | 141 | $2.31B | +32 | −9 |
| 3580 | Eaton Vance Limited DurationCOM | 27828H105 | 141 | $305.63M | +17 | −16 |
| 3581 | Eventbrite IncCOM CL A | 29975E109 | 141 | $268.68M | +40 | −28 |
| 3582 | First Tr Exchange Traded FdNASDQ SEMCNDTR | 33738R811 | 141 | $1.21B | +33 | −11 |
| 3583 | J P Morgan Exchange Traded FUS VALUE FACTR | 46641Q753 | 141 | $416.98M | +13 | −8 |
| 3584 | Midwestone Finl Group Inc NeCOM | 598511103 | 141 | $654.25M | +39 | −21 |
| 3585 | Miller Inds Inc TennCOM NEW | 600551204 | 141 | $377.99M | +13 | −27 |
| 3586 | Oruka Therapeutics IncCOM | 687604108 | 141 | $1.53B | +39 | −8 |
| 3587 | 2023 ETF Series Trust IIGMO US QUALITY E | 90139K100 | 141 | $2.41B | +24 | −7 |
| 3588 | Ultrapar Participacoes SASP ADR REP COM | 90400P101 | 141 | $229.42M | +34 | −11 |
| 3589 | Vaneck ETF TrustSHRT HGH YLD MUN | 92189F387 | 141 | $247.26M | +15 | −9 |
| 3590 | Absci CorporationCOM | 00091E109 | 140 | $410.07M | +19 | −21 |
| 3591 | Brp IncCOM SUN VTG | 05577W200 | 140 | $1.93B | +23 | −17 |
| 3592 | Calamos Conv Opportunities &SH BEN INT | 128117108 | 140 | $180.95M | +14 | −7 |
| 3593 | Dimensional ETF TrustGLOBAL EX US COR | 25434V575 | 140 | $966.25M | +18 | −6 |
| 3594 | ETF Ser SolutionsDISTILLATE US | 26922A321 | 140 | $1.44B | +21 | −13 |
| 3595 | Fidelity Covington TrustQLTY FCTOR ETF | 316092790 | 140 | $877.14M | +19 | −16 |
| 3596 | First Tr Exchng Traded Fd ViFT VEST US EQT | 33740F664 | 140 | $250.44M | +33 | −6 |
| 3597 | First Tr Exchng Traded Fd ViFT VEST UQ EQT | 33740U505 | 140 | $303.31M | +14 | −15 |
| 3598 | Hello Group IncADS | 423403104 | 140 | $315.15M | +12 | −20 |
| 3599 | Hyster-Yale IncCL A | 449172105 | 140 | $228.83M | +16 | −31 |
| 3600 | Information Svcs Group IncCOM | 45675Y104 | 140 | $184.51M | +21 | −12 |