22,061 securities held by 13F filers in Q4 2025, ranked by institutional ownership.
| # | Stock | CUSIP | Holders | Inst. Value | New | Closed |
|---|---|---|---|---|---|---|
| 3601 | Invesco Exchange Traded Fd TAI AND NEXT GEN | 46137V639 | 140 | $236.94M | +28 | −6 |
| 3602 | Ishares TrINTL TREA BD ETF | 464288117 | 140 | $368.39M | +21 | −16 |
| 3603 | Ishares TrIBONDS DEC 2033 | 46436E130 | 140 | $700.83M | +18 | −11 |
| 3604 | Olympic Steel IncCOM | 68162K106 | 140 | $388.76M | +30 | −27 |
| 3605 | Oppfi IncCOM CL A | 68386H103 | 140 | $224.87M | +23 | −24 |
| 3606 | Orthofix Med IncCOM | 68752M108 | 140 | $528.15M | +22 | −21 |
| 3607 | Proshares TrULTRPRO S&P500 | 74347X864 | 140 | $356.95M | +28 | −18 |
| 3608 | Riley Exploration Permian InCOM | 76665T102 | 140 | $362.37M | +14 | −19 |
| 3609 | Vanguard Mun Bd FdsINTERMEDIATE TRM | 922907738 | 140 | $593.21M | +35 | −6 |
| 3610 | Vishay Precision Group IncCOM | 92835K103 | 140 | $401.51M | +28 | −14 |
| 3611 | Weibo CorpSPONSORED ADR | 948596101 | 140 | $427.13M | +22 | −25 |
| 3612 | Cmb.Tech NVSHS | B38564108 | 140 | $316.85M | +23 | −30 |
| 3613 | Alerus Finl CorpCOM | 01446U103 | 139 | $326.05M | +14 | −8 |
| 3614 | Amerant Bancorp IncCL A | 023576101 | 139 | $495.47M | +23 | −16 |
| 3615 | Astria Therapeutics IncCOM | 04635X102 | 139 | $684.36M | +59 | −33 |
| 3616 | Bicara Therapeutics IncCOM | 055477103 | 139 | $873.59M | +43 | −17 |
| 3617 | Bain Cap Specialty Fin IncCOM STK | 05684B107 | 139 | $452.38M | +23 | −20 |
| 3618 | Blackrock Mun Target Term TrCOM SHS BEN IN | 09257P105 | 139 | $543.26M | +8 | −11 |
| 3619 | Calumet IncCOM | 131428104 | 139 | $893.02M | +14 | −20 |
| 3620 | Capital Group InternationalSHS | 14021T102 | 139 | $758.02M | +39 | −2 |
| 3621 | Daqo New Energy CorpSPNSRD ADS NEW | 23703Q203 | 139 | $823.85M | +28 | −19 |
| 3622 | Holley IncCOM | 43538H103 | 139 | $291.04M | +25 | −16 |
| 3623 | Jeld-Wen Hldg IncCOM | 47580P103 | 139 | $188.74M | +20 | −51 |
| 3624 | Loandepot IncCOM CL A | 53946R106 | 139 | $94.20M | +35 | −17 |
| 3625 | Microvision Inc DelCOM NEW | 594960304 | 139 | $69.33M | +12 | −24 |
| 3626 | Movado Group IncCOM | 624580106 | 139 | $261.33M | +17 | −12 |
| 3627 | Palvella Therapeutics Inc NeCOM | 697947109 | 139 | $1.02B | +50 | −12 |
| 3628 | Pony Ai IncSPONSORED ADS | 732908108 | 139 | $1.35B | +30 | −30 |
| 3629 | Resources Connection IncCOM | 76122Q105 | 139 | $114.34M | +22 | −30 |
| 3630 | Spdr Index Shs FdsMSCI EAFE STRTGC | 78463X434 | 139 | $799.38M | +12 | −6 |
| 3631 | United Sts Oil Fd LPUNITS | 91232N207 | 139 | $207.92M | +20 | −25 |
| 3632 | Wpp PLC NewADR | 92937A102 | 139 | $473.49M | +29 | −42 |
| 3633 | Caledonia Mng Corp PLCSHS NEW | G1757E113 | 139 | $177.34M | +26 | −20 |
| 3634 | Arteris IncCOM | 04302A104 | 138 | $372.59M | +35 | −18 |
| 3635 | Banco Santander Chile NewSP ADR REP COM | 05965X109 | 138 | $660.18M | +24 | −9 |
| 3636 | Chargepoint Holdings IncCOM SHS | 15961R303 | 138 | $33.60M | +20 | −25 |
| 3637 | First Tr Exch Traded Fd IIISHRT DUR MNG MUN | 33739P830 | 138 | $412.00M | +21 | −13 |
| 3638 | First Tr Exchng Traded Fd ViFT VEST US | 33740F771 | 138 | $142.83M | +11 | −13 |
| 3639 | Franklin Templeton ETF TrFRANKLIN INDIA | 35473P769 | 138 | $1.08B | +22 | −14 |
| 3640 | Innovator Etfs TrustLADERD ALCTN PWR | 45783Y814 | 138 | $504.76M | +10 | −8 |
| 3641 | Ishares IncMSCI SINGPOR ETF | 46434G780 | 138 | $268.49M | +26 | −13 |
| 3642 | Idaho Strategic ResourcesCOM NEW | 645827205 | 138 | $263.94M | +39 | −27 |
| 3643 | Nushares ETF TrNUVEEN ESG MIDCP | 67092P409 | 138 | $302.57M | +13 | −8 |
| 3644 | Ooma IncCOM | 683416101 | 138 | $206.73M | +20 | −13 |
| 3645 | Opendoor Technologies Inc*W EXP 11/20/202 | 683712145 | 138 | $3.06M | +130 | — |
| 3646 | Opera LtdSPONSORED ADS | 68373M107 | 138 | $202.03M | +24 | −42 |
| 3647 | Standard Lithium LtdCOM | 853606101 | 138 | $230.09M | +33 | −19 |
| 3648 | Tidal Trust IIROUNDHILL GENER | 88636J600 | 138 | $207.21M | +40 | −11 |
| 3649 | Tim S ASPONSORED ADR | 88706T108 | 138 | $370.38M | +27 | −20 |
| 3650 | Ventyx Biosciences IncCOM | 92332V107 | 138 | $462.50M | +48 | −21 |