22,061 securities held by 13F filers in Q4 2025, ranked by institutional ownership.
| # | Stock | CUSIP | Holders | Inst. Value | New | Closed |
|---|---|---|---|---|---|---|
| 3651 | Stevanato Group S P AORD SHS | T9224W109 | 138 | $898.69M | +20 | −19 |
| 3652 | Bridgewater Bancshares IncCOM | 108621103 | 137 | $251.07M | +18 | −8 |
| 3653 | Dorchester Minerals LPCOM UNIT | 25820R105 | 137 | $222.15M | +14 | −17 |
| 3654 | El Pollo Loco Hldgs IncCOM | 268603107 | 137 | $240.55M | +23 | −13 |
| 3655 | Ecopetrol S ASPONSORED ADS | 279158109 | 137 | $227.78M | +14 | −15 |
| 3656 | First Business Finl Svcs IncCOM | 319390100 | 137 | $294.67M | +15 | −12 |
| 3657 | First Tr Exchng Traded Fd ViFT ENERGY INCOME | 33740F276 | 137 | $305.32M | +10 | −12 |
| 3658 | Honest Co IncCOM | 438333106 | 137 | $124.32M | +20 | −31 |
| 3659 | Iqiyi IncSPONSORED ADS | 46267X108 | 137 | $321.92M | +20 | −26 |
| 3660 | Mbx Biosciences IncCOM | 55287L101 | 137 | $1.50B | +40 | −24 |
| 3661 | Orasure Technologies IncCOM | 68554V108 | 137 | $129.88M | +11 | −20 |
| 3662 | Rbb Fund TrustFIRST EAGLE GBL | 75526L886 | 137 | $633.93M | +36 | −8 |
| 3663 | Sabine Rty TrUNIT BEN INT | 785688102 | 137 | $143.77M | +14 | −20 |
| 3664 | Scripps E W Co OhioCL A NEW | 811054402 | 137 | $207.01M | +18 | −23 |
| 3665 | Wisdomtree TrINTL QULTY DIV | 97717X131 | 137 | $579.21M | +15 | −13 |
| 3666 | Critical Metals CorpPUBCO ORD SHS | G2662B103 | 137 | $130.05M | +50 | −20 |
| 3667 | Kornit Digital LtdSHS | M6372Q113 | 137 | $612.26M | +13 | −27 |
| 3668 | Beta Technologies IncCOM SHS CL A | 086921103 | 136 | $3.05B | +133 | — |
| 3669 | Eaton Vance Enhanced EquityCOM | 278277108 | 136 | $259.41M | +13 | −14 |
| 3670 | First Tr Exchange-Traded AlpSML CP GRW ALP | 33737M300 | 136 | $514.34M | +23 | −7 |
| 3671 | Hippo Hldgs IncCOM NEW | 433539202 | 136 | $319.87M | +24 | −13 |
| 3672 | Inhibrx Biosciences IncCOM | 45720N103 | 136 | $1.01B | +41 | −8 |
| 3673 | Invesco Db Multi-Sector CommAGRICULTURE FD | 46140H106 | 136 | $209.36M | +15 | −19 |
| 3674 | Ishares TrGLOBAL FINLS ETF | 464287333 | 136 | $286.89M | +17 | −10 |
| 3675 | Johnson Outdoors IncCL A | 479167108 | 136 | $283.00M | +19 | −6 |
| 3676 | Midland States Bancorp IncCOM | 597742105 | 136 | $278.43M | +17 | −18 |
| 3677 | Park Aerospace CorpCOM | 70014A104 | 136 | $350.68M | +15 | −14 |
| 3678 | Pimco ETF TrMUNI INCOME OPP | 72201R635 | 136 | $310.63M | +33 | −8 |
| 3679 | Quad / Graphics IncCOM CL A | 747301109 | 136 | $124.23M | +14 | −14 |
| 3680 | Spdr Index Shs FdsS&P INTL ETF | 78463X772 | 136 | $265.22M | +6 | −12 |
| 3681 | Target Hospitality CorpCOM | 87615L107 | 136 | $252.97M | +18 | −15 |
| 3682 | Tiptree IncCOM | 88822Q103 | 136 | $297.30M | +18 | −21 |
| 3683 | Vaneck ETF TrustLONG MUNI ETF | 92189F536 | 136 | $556.12M | +16 | −8 |
| 3684 | Xperi IncCOMMON STOCK | 98423J101 | 136 | $238.94M | +17 | −22 |
| 3685 | Canadian Solar IncCOM | 136635109 | 135 | $572.04M | +38 | −17 |
| 3686 | Cooper Std Hldgs IncCOM | 21676P103 | 135 | $368.37M | +15 | −19 |
| 3687 | Dennys CorpCOM | 24869P104 | 135 | $249.12M | +36 | −33 |
| 3688 | First Tr Exchange-Traded FdLNG DUR OPRTUN | 33738D606 | 135 | $517.76M | +18 | −8 |
| 3689 | Fuelcell Energy IncCOM NEW | 35952H700 | 135 | $155.37M | +39 | −21 |
| 3690 | Invesco Exch Trd Slf Idx FdBULSHS 2027 MUNI | 46138J494 | 135 | $206.78M | +14 | −4 |
| 3691 | Marcus Corp DelCOM | 566330106 | 135 | $289.34M | +21 | −25 |
| 3692 | Oil Dri Corp AmerCOM | 677864100 | 135 | $351.26M | +13 | −28 |
| 3693 | Open Lending CorpCOM | 68373J104 | 135 | $118.07M | +12 | −21 |
| 3694 | Spdr Series TrustBLOOMBERG 1 10 Y | 78468R861 | 135 | $1.35B | +18 | −19 |
| 3695 | Titan Machy IncCOM | 88830R101 | 135 | $308.70M | +17 | −16 |
| 3696 | American Coastal Ins CorpCOM | 910710102 | 135 | $177.24M | +21 | −11 |
| 3697 | Vanguard Scottsdale FdsTOTAL CORP BND | 92206C573 | 135 | $860.38M | +15 | −9 |
| 3698 | Climb Global Solutions IncCOM | 946760105 | 135 | $308.12M | +21 | −18 |
| 3699 | Zumiez IncCOM | 989817101 | 135 | $307.89M | +39 | −9 |
| 3700 | Liberty Latin America LtdCOM CL A | G9001E102 | 135 | $200.41M | +19 | −13 |