Institutional Research
Stocks & Institutional Ownership
22,594 securities held by 13F filers in Q1 2026, ranked by institutional ownership.
| # | Stock | CUSIP | Holders | Inst. Value | New | Closed |
|---|---|---|---|---|---|---|
| 3801 | Backblaze IncCOM CL A | 05637B105 | 132 | $81.54M | +22 | −29 |
| 3802 | Bowman Consulting Group LtdCOM | 103002101 | 132 | $273.39M | +25 | −16 |
| 3803 | Calamos Conv Opportunities &SH BEN INT | 128117108 | 132 | $188.00M | +7 | −13 |
| 3804 | Cooper Std Hldgs IncCOM | 21676P103 | 132 | $276.81M | +22 | −24 |
| 3805 | Hello Group IncADS | 423403104 | 132 | $224.65M | +20 | −26 |
| 3806 | Mda Space LtdCOM | 55293N109 | 132 | $1.77B | +132 | — |
| 3807 | Idaho Strategic ResourcesCOM NEW | 645827205 | 132 | $189.57M | +29 | −33 |
| 3808 | Nushares ETF TrNUVEEN ESG MIDVL | 67092P508 | 132 | $322.44M | +12 | −8 |
| 3809 | Ocugen IncCOM | 67577C105 | 132 | $167.96M | +43 | −16 |
| 3810 | Precision Drilling CorpCOM NEW | 74022D407 | 132 | $763.95M | +26 | −8 |
| 3811 | Rackspace Technology IncCOM | 750102105 | 132 | $159.90M | +51 | −18 |
| 3812 | Ssga Active TrSPDR SSGA US SCT | 78470P408 | 132 | $807.28M | +15 | −14 |
| 3813 | Usana Health Sciences IncCOM | 90328M107 | 132 | $158.50M | +24 | −10 |
| 3814 | Aclaris Therapeutics IncCOM | 00461U105 | 131 | $372.91M | +28 | −15 |
| 3815 | Bain Cap Specialty Fin IncCOM STK | 05684B107 | 131 | $401.25M | +19 | −25 |
| 3816 | Braemar Hotels & Resorts IncCOM | 10482B101 | 131 | $62.53M | +17 | −15 |
| 3817 | Caribou Biosciences IncCOM | 142038108 | 131 | $59.19M | +25 | −13 |
| 3818 | Carnival PLCADS | 14365C103 | 131 | $877.70M | +13 | −28 |
| 3819 | Destiny Tech100 IncCOM SHS | 25063F107 | 131 | $60.09M | +55 | −9 |
| 3820 | First Tr Exchng Traded Fd ViFT VEST US EQT | 33740F599 | 131 | $224.38M | +25 | −7 |
| 3821 | Global X FdsAUTONMOUS EV ETF | 37954Y624 | 131 | $67.64M | +19 | −13 |
| 3822 | Ishares TrUSD GRN BOND ETF | 46435U440 | 131 | $261.14M | +17 | −3 |
| 3823 | Perspective Therapeutics IncCOM NEW | 46489V302 | 131 | $302.53M | +42 | −21 |
| 3824 | Proshares TrRUSS 2000 DIVD | 74347B698 | 131 | $334.23M | +8 | −7 |
| 3825 | Strive IncCL A COM | 862945300 | 131 | $281.75M | +131 | −1 |
| 3826 | Liberty Latin America LtdCOM CL A | G9001E102 | 131 | $226.01M | +15 | −20 |
| 3827 | Aviat Networks IncCOM NEW | 05366Y201 | 130 | $186.61M | +14 | −12 |
| 3828 | Brookfield Business CorpCL A SUB VTG SH | 113006100 | 130 | $5.74B | +129 | — |
| 3829 | Colony Bankcorp IncCOM | 19623P101 | 130 | $215.98M | +24 | −12 |
| 3830 | ETF Ser SolutionsAPTUS COLLRD INV | 26922A222 | 130 | $2.47B | +15 | −14 |
| 3831 | Flexshares TrSTOXX GLOBR INF | 33939L795 | 130 | $2.59B | +20 | −9 |
| 3832 | Gci Liberty IncCOM SER A | 36164V602 | 130 | $79.91M | +19 | −12 |
| 3833 | Hive Digital Technologies LtCOM NEW | 433921103 | 130 | $152.52M | +32 | −28 |
| 3834 | Ishares TrU.S. INSRNCE ETF | 464288786 | 130 | $177.08M | +14 | −30 |
| 3835 | Ishares Tr20+ YEAR TR BD | 46436E338 | 130 | $479.30M | +24 | −12 |
| 3836 | Lexicon Pharmaceuticals IncCOM NEW | 528872302 | 130 | $484.12M | +26 | −15 |
| 3837 | Marcus Corp DelCOM | 566330106 | 130 | $302.49M | +14 | −19 |
| 3838 | Pimco High Income FdCOM SHS | 722014107 | 130 | $89.67M | +20 | −16 |
| 3839 | Spdr Series TrustS&P 500 ESG ETF | 78468R531 | 130 | $267.24M | +18 | −8 |
| 3840 | Vanguard World FdESG US CORP BD | 921910691 | 130 | $540.06M | +14 | −5 |
| 3841 | Voyager Therapeutics IncCOM | 92915B106 | 130 | $114.71M | +24 | −16 |
| 3842 | Wisdomtree TrINTL EQUITY FD | 97717W703 | 130 | $382.41M | +15 | −7 |
| 3843 | Meiragtx Hldgs PLCCOM | G59665102 | 130 | $578.15M | +18 | −15 |
| 3844 | Canadian Solar IncCOM | 136635109 | 129 | $426.87M | +28 | −34 |
| 3845 | Capital City Bk Group IncCOM | 139674105 | 129 | $332.44M | +21 | −20 |
| 3846 | Citi Trends IncCOM | 17306X102 | 129 | $320.10M | +18 | −14 |
| 3847 | Codexis IncCOM | 192005106 | 129 | $97.55M | +27 | −20 |
| 3848 | Direxion Shs ETF TrDLY SCOND 3XBU | 25459W458 | 129 | $515.94M | +42 | −34 |
| 3849 | Equipmentshare Com IncCOM CL A | 29445S100 | 129 | $1.81B | +129 | — |
| 3850 | First Tr Exchng Traded Fd ViFT VEST US EQT | 33740F748 | 129 | $215.18M | +11 | −5 |