FBInvestor
Institutional Research

Stocks & Institutional Ownership

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

#StockCUSIPHoldersInst. ValueNewClosed
3801Backblaze IncCOM CL A05637B105132$81.54M+22−29
3802Bowman Consulting Group LtdCOM103002101132$273.39M+25−16
3803Calamos Conv Opportunities &SH BEN INT128117108132$188.00M+7−13
3804Cooper Std Hldgs IncCOM21676P103132$276.81M+22−24
3805Hello Group IncADS423403104132$224.65M+20−26
3806Mda Space LtdCOM55293N109132$1.77B+132
3807Idaho Strategic ResourcesCOM NEW645827205132$189.57M+29−33
3808Nushares ETF TrNUVEEN ESG MIDVL67092P508132$322.44M+12−8
3809Ocugen IncCOM67577C105132$167.96M+43−16
3810Precision Drilling CorpCOM NEW74022D407132$763.95M+26−8
3811Rackspace Technology IncCOM750102105132$159.90M+51−18
3812Ssga Active TrSPDR SSGA US SCT78470P408132$807.28M+15−14
3813Usana Health Sciences IncCOM90328M107132$158.50M+24−10
3814Aclaris Therapeutics IncCOM00461U105131$372.91M+28−15
3815Bain Cap Specialty Fin IncCOM STK05684B107131$401.25M+19−25
3816Braemar Hotels & Resorts IncCOM10482B101131$62.53M+17−15
3817Caribou Biosciences IncCOM142038108131$59.19M+25−13
3818Carnival PLCADS14365C103131$877.70M+13−28
3819Destiny Tech100 IncCOM SHS25063F107131$60.09M+55−9
3820First Tr Exchng Traded Fd ViFT VEST US EQT33740F599131$224.38M+25−7
3821Global X FdsAUTONMOUS EV ETF37954Y624131$67.64M+19−13
3822Ishares TrUSD GRN BOND ETF46435U440131$261.14M+17−3
3823Perspective Therapeutics IncCOM NEW46489V302131$302.53M+42−21
3824Proshares TrRUSS 2000 DIVD74347B698131$334.23M+8−7
3825Strive IncCL A COM862945300131$281.75M+131−1
3826Liberty Latin America LtdCOM CL AG9001E102131$226.01M+15−20
3827Aviat Networks IncCOM NEW05366Y201130$186.61M+14−12
3828Brookfield Business CorpCL A SUB VTG SH113006100130$5.74B+129
3829Colony Bankcorp IncCOM19623P101130$215.98M+24−12
3830ETF Ser SolutionsAPTUS COLLRD INV26922A222130$2.47B+15−14
3831Flexshares TrSTOXX GLOBR INF33939L795130$2.59B+20−9
3832Gci Liberty IncCOM SER A36164V602130$79.91M+19−12
3833Hive Digital Technologies LtCOM NEW433921103130$152.52M+32−28
3834Ishares TrU.S. INSRNCE ETF464288786130$177.08M+14−30
3835Ishares Tr20+ YEAR TR BD46436E338130$479.30M+24−12
3836Lexicon Pharmaceuticals IncCOM NEW528872302130$484.12M+26−15
3837Marcus Corp DelCOM566330106130$302.49M+14−19
3838Pimco High Income FdCOM SHS722014107130$89.67M+20−16
3839Spdr Series TrustS&P 500 ESG ETF78468R531130$267.24M+18−8
3840Vanguard World FdESG US CORP BD921910691130$540.06M+14−5
3841Voyager Therapeutics IncCOM92915B106130$114.71M+24−16
3842Wisdomtree TrINTL EQUITY FD97717W703130$382.41M+15−7
3843Meiragtx Hldgs PLCCOMG59665102130$578.15M+18−15
3844Canadian Solar IncCOM136635109129$426.87M+28−34
3845Capital City Bk Group IncCOM139674105129$332.44M+21−20
3846Citi Trends IncCOM17306X102129$320.10M+18−14
3847Codexis IncCOM192005106129$97.55M+27−20
3848Direxion Shs ETF TrDLY SCOND 3XBU25459W458129$515.94M+42−34
3849Equipmentshare Com IncCOM CL A29445S100129$1.81B+129
3850First Tr Exchng Traded Fd ViFT VEST US EQT33740F748129$215.18M+11−5

Showing 3,8013,850 of 22,594