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Banco Santander, S.A.

· CIK 0000891478
13F Portfolio $12.4B AUM 901 positions Filed May 8, 2026 EDGAR ↗ ← All Funds
Q1 2026 Q4 2025
69 New 163 Added 171 Reduced 58 Exited
# Ticker Company Sector Shares Value % Port Chg Shares Chg %
1 BSBR BANCO SANTANDER BRASIL S A Financial Services 520,218,168 $3.08B 24.88%
2 MSFT MICROSOFT CORP Technology 1,836,327 $679.8M 5.48% +802K +77.5%
3 FER FERROVIAL SE Industrials 8,720,450 $584.4M 4.71% -958K -9.9%
4 NVDA NVIDIA CORPORATION Technology 2,635,890 $459.7M 3.71% -248K -8.6%
5 TTE TOTALENERGIES SE Energy 4,224,880 $379.3M 3.06% -402K -8.7%
6 AAPL APPLE INC Technology 1,402,496 $355.9M 2.87% -230K -14.1%
7 AMZN AMAZON COM INC Consumer Cyclical 1,402,980 $292.2M 2.36% -268K -16.1%
8 GLD SPDR GOLD TR Financial Services 509,516 $219.2M 1.77% +136K +36.5%
9 GOOGL ALPHABET INC Communication Services 718,414 $206.6M 1.67% -62K -7.9%
10 RACE FERRARI N V Consumer Cyclical 548,829 $187.9M 1.51% -94K -14.6%
11 META META PLATFORMS INC Communication Services 308,441 $176.5M 1.42% -195K -38.8%
12 GOOGL ALPHABET INC Communication Services 554,638 $159.1M 1.28% -43K -7.2%
13 JPM JPMORGAN CHASE & CO Financial Services 523,635 $154.0M 1.24% +48K +10.0%
14 STT STATE STR SPDR S&P 500 ETF T Financial Services 235,496 $153.2M 1.24% +47K +24.8%
15 AVGO BROADCOM INC Technology 480,030 $148.6M 1.20% -326K -40.4%
16 VOO VANGUARD INDEX FDS 209,633 $125.3M 1.01% -36K -14.7%
17 LLY ELI LILLY & CO Healthcare 116,226 $106.9M 0.86% +4K +3.2%
18 XOM EXXON MOBIL CORP Energy 584,545 $99.2M 0.80% +79K +15.5%
19 IVR INVESCO EXCH TRADED FD TR II Real Estate 402,000 $95.5M 0.77% -15K -3.6%
20 NFLX NETFLIX INC. Communication Services 945,230 $90.9M 0.73% +111K +13.2%
21 CAT CATERPILLAR INC Industrials 120,995 $85.7M 0.69% +17K +16.6%
22 GSG ISHARES TR Financial Services 128,005 $83.6M 0.67% -18K -12.3%
23 CCEP COCA COLA CO Consumer Defensive 1,058,035 $80.5M 0.65% +330K +45.2%
24 ISHARES INC 440,262 $79.3M 0.64% +134K +44.0%
25 C CITIGROUP INC Financial Services 677,198 $76.8M 0.62% +31K +4.8%
26 WMT WALMART INC Consumer Defensive 595,563 $74.0M 0.60% -217K -26.7%
27 TSLA TESLA INC Consumer Cyclical 197,129 $73.3M 0.59% -239K -54.8%
28 STLA STELLANTIS N.V Consumer Cyclical 9,722,932 $72.2M 0.58% -9.3M -49.0%
29 V VISA INC Financial Services 238,879 $72.2M 0.58% -28K -10.6%
30 MS MORGAN STANLEY Financial Services 417,740 $68.7M 0.55%
31 MU MICRON TECHNOLOGY INC Technology 203,010 $68.6M 0.55% -27K -11.7%
32 MA MASTERCARD INCORPORATED Financial Services 115,814 $57.9M 0.47% -5K -4.0%
33 LRCX LAM RESEARCH CORP Technology 265,218 $56.7M 0.46% -34K -11.5%
34 CVX CHEVRON CORPORATION Energy 271,279 $56.1M 0.45% +20K +7.8%
35 BANK AMERICA CORP 1,101,475 $53.7M 0.43% +58K +5.6%
36 ISRG INTUITIVE SURGICAL INC Healthcare 108,393 $50.0M 0.40% +5K +4.9%
37 BMY BRISTOL-MYERS SQUIBB CO Healthcare 807,784 $49.0M 0.40% -16K -2.0%
38 GSG ISHARES TR Financial Services 341,053 $47.2M 0.38% +20K +6.2%
39 COTY COTY INC Consumer Defensive 23,112,758 $46.5M 0.38%
40 VWO VANGUARD INTL EQUITY INDEX F 847,798 $45.8M 0.37% +109K +14.7%
41 ORCL ORACLE CORP Technology 302,380 $44.5M 0.36% -63K -17.2%
42 VERX VERTEX PHARMACEUTICALS INC Technology 99,388 $44.4M 0.36% +1K +1.4%
43 TMO THERMO FISHER SCIENTIFIC INC Healthcare 89,937 $44.2M 0.36% -5K -5.0%
44 IVR INVESCO EXCHANGE TRADED FD T Real Estate 228,120 $43.8M 0.35% +8K +3.4%
45 BRK.A BERKSHIRE HATHAWAY INC DEL Financial Services 90,295 $43.3M 0.35% +7K +8.9%
46 PFE PFIZER INC Healthcare 1,469,265 $41.3M 0.33% -193K -11.6%
47 VCIT VANGUARD SCOTTSDALE FDS 471,537 $39.0M 0.32% +136K +40.7%
48 GILD GILEAD SCIENCES INC Healthcare 276,035 $38.5M 0.31% +14K +5.4%
49 GS GOLDMAN SACHS GROUP INC Financial Services 44,559 $37.7M 0.30% -5K -9.7%
50 WM WASTE MGMT INC DEL Industrials 158,808 $36.5M 0.29% -3K -2.1%
51 MDLZ MONDELEZ INTL INC Consumer Defensive 630,338 $36.3M 0.29% +573K +997.2%
52 UBER UBER TECHNOLOGIES INC Technology 503,900 $36.2M 0.29% +35K +7.6%
53 WABTEC 144,547 $36.1M 0.29% -33K -18.6%
54 SPSM SPDR SERIES TRUST 747,076 $36.1M 0.29% +50K +7.2%
55 GE GE AEROSPACE Industrials 126,613 $35.9M 0.29% -32K -20.3%
56 ANET ARISTA NETWORKS INC Technology 285,670 $35.1M 0.28% +206K +258.6%
57 ADI ANALOG DEVICES INC Technology 109,660 $34.9M 0.28% -16K -12.6%
58 MRVL MARVELL TECHNOLOGY INC Technology 350,526 $34.7M 0.28% -78K -18.3%
59 WELL WELLTOWER INC Real Estate 173,789 $34.4M 0.28% +8K +5.1%
60 PG PROCTER & GAMBLE CO Consumer Defensive 233,835 $33.8M 0.27% -24K -9.3%
61 GSG ISHARES TR Financial Services 272,569 $32.3M 0.26%
62 GSG ISHARES TR Financial Services 337,380 $32.2M 0.26% +148K +78.5%
63 CME CME GROUP INC Financial Services 106,941 $31.6M 0.26% +4K +3.9%
64 ICE INTERCONTINENTAL EXCHANGE IN Financial Services 200,349 $31.5M 0.25% -74K -27.1%
65 REGN REGENERON PHARMACEUTICALS Healthcare 40,590 $31.4M 0.25% +3K +7.6%
66 GSG ISHARES TR Financial Services 279,368 $30.8M 0.25% -170K -37.9%
67 ABBV ABBVIE INC Healthcare 138,790 $30.2M 0.24% -7K -4.7%
68 CSCO CISCO SYS INC Technology 388,925 $30.2M 0.24% -15K -3.8%
69 GSG ISHARES TR Financial Services 297,216 $29.7M 0.24% NEW
70 VGK VANGUARD INTL EQUITY INDEX F 360,376 $29.7M 0.24% -88K -19.6%
71 PH PARKER-HANNIFIN CORP Industrials 33,083 $29.6M 0.24% -2K -6.5%
72 LHX L3HARRIS TECHNOLOGIES INC Industrials 85,218 $29.4M 0.24% +84K +7233.7%
73 EIX EDISON INTL Utilities 399,196 $29.2M 0.24%
74 COST COSTCO WHOLESALE CORPORATION Consumer Defensive 29,200 $29.1M 0.23% -4K -12.7%
75 GSG ISHARES TR Financial Services 504,586 $28.7M 0.23% +377K +294.3%
76 BFST INTERNATIONAL BUSINESS MACHS Financial Services 114,111 $27.7M 0.22% -52K -31.2%
77 NEE NEXTERA ENERGY INC Utilities 291,922 $27.1M 0.22% +24K +8.9%
78 UNH UNITEDHEALTH GROUP INC Healthcare 98,578 $26.7M 0.21% +23K +30.0%
79 CEG CONSTELLATION ENERGY CORP Utilities 93,871 $26.2M 0.21% +51K +117.6%
80 SNPS SYNOPSYS INC Technology 65,990 $26.2M 0.21% +59K +814.5%
81 SPAB SPDR SERIES TRUST 1,020,902 $26.2M 0.21% -100K -8.9%
82 IVR INVESCO QQQ TR Real Estate 44,983 $26.0M 0.21% -8K -14.7%
83 NEM NEWMONT CORP Basic Materials 239,129 $25.9M 0.21% +225K +1591.6%
84 AMD ADVANCED MICRO DEVICES INC Technology 125,485 $25.5M 0.21% -92K -42.4%
85 EMP ENTERGY CORP NEW Utilities 220,834 $24.8M 0.20% -36K -13.9%
86 MCD MCDONALDS CORP Consumer Cyclical 77,344 $24.0M 0.19% +3K +4.0%
87 QCOM QUALCOMM INC Technology 185,386 $23.9M 0.19% -34K -15.7%
88 DNUT KRISPY KREME INC Consumer Defensive 6,916,972 $23.4M 0.19%
89 BIL SPDR SERIES TRUST 253,206 $23.2M 0.19% +16K +6.9%
90 SCHWAB CHARLES CORP 242,842 $22.8M 0.18% -9K -3.5%
91 CMCSA COMCAST CORP NEW Communication Services 789,998 $22.7M 0.18% -114K -12.6%
92 TJX COS INC NEW 138,757 $22.2M 0.18% +5K +3.6%
93 TMUS T-MOBILE US INC Communication Services 104,540 $22.0M 0.18% +52K +100.4%
94 RTX RTX CORPORATION Industrials 112,993 $21.8M 0.18% +91K +403.3%
95 SLB SLB LIMITED Energy 421,423 $21.7M 0.17% +12K +3.0%
96 BKNG BOOKING HOLDINGS INC Consumer Cyclical 5,113 $21.5M 0.17% +575 +12.7%
97 HD HOME DEPOT INC Consumer Cyclical 65,413 $21.5M 0.17% -10K -13.8%
98 MRSH MARSH & MCLENNAN COS INC Financial Services 123,015 $21.3M 0.17% -17K -11.9%
99 IQVIA HLDGS INC 124,100 $21.2M 0.17% -26K -17.6%
100 DDOG DATADOG INC Technology 179,222 $21.2M 0.17% +172K +2538.3%
101 CAH CARDINAL HEALTH INC Healthcare 99,670 $21.1M 0.17%
102 IREN IREN LIMITED Financial Services 600,300 $20.6M 0.17% +555K +1219.5%
103 CRM SALESFORCE INC Technology 108,654 $20.3M 0.16% -175K -61.7%
104 DOW HLDGS INC 478,984 $19.9M 0.16% +188K +64.5%
105 LAUDER ESTEE COS INC 275,724 $19.8M 0.16% +35K +14.3%
106 APH AMPHENOL CORP Technology 153,543 $19.4M 0.16% -59K -27.9%
107 PLTR PALANTIR TECHNOLOGIES INC Technology 132,477 $19.4M 0.16% +28K +26.4%
108 DISNEY WALT CO 199,902 $19.3M 0.15% -120K -37.6%
109 XLU SELECT SECTOR SPDR TR 416,731 $19.1M 0.15% +147K +54.5%
110 BSX BOSTON SCIENTIFIC CORP Healthcare 304,049 $19.1M 0.15% +249K +452.2%
111 AAOI APPLIED MATLS INC Technology 54,676 $18.7M 0.15% -16K -22.9%
112 MTZ MASTEC INC Industrials 57,877 $18.6M 0.15%
113 BUZZ BOEING CO 91,186 $18.1M 0.15% -2K -2.4%
114 XLF SELECT SECTOR SPDR TR 348,933 $17.2M 0.14% +199K +133.2%
115 LNG CHENIERE ENERGY INC Energy 60,680 $17.2M 0.14% +2K +3.0%
116 ITRI ITRON INC Technology 190,922 $17.1M 0.14% -35K -15.4%
117 FCX FREEPORT MCMORAN INC Basic Materials 291,001 $17.1M 0.14% +41K +16.5%
118 KR KROGER CO Consumer Defensive 234,102 $16.9M 0.14% +11K +5.2%
119 NKE NIKE INC Consumer Cyclical 319,195 $16.9M 0.14% +51K +19.2%
120 COIN COINBASE GLOBAL INC Financial Services 95,545 $16.7M 0.14% +1K +1.1%
121 PGR PROGRESSIVE CORP Financial Services 81,601 $16.2M 0.13%
122 DB DEUTSCHE BK AG Financial Services 524,556 $15.6M 0.13% -3.5M -87.1%
123 PANW PALO ALTO NETWORKS INC Technology 96,070 $15.4M 0.12% -29K -23.3%
124 DHI D R HORTON INC Consumer Cyclical 110,992 $15.2M 0.12% NEW
125 UNP UNION PAC CORP Industrials 62,196 $15.1M 0.12% -18K -22.4%
126 CTVA CORTEVA INC Basic Materials 178,376 $14.9M 0.12% -60K -25.3%
127 HON HONEYWELL INTL INC Industrials 65,760 $14.9M 0.12% -97K -59.5%
128 ADBE ADOBE INC Technology 59,564 $14.5M 0.12% -60K -50.4%
129 PRICE T ROWE GROUP INC 154,882 $14.0M 0.11% -21K -11.9%
130 MRK MERCK & CO INC Healthcare 115,528 $13.9M 0.11% +1K +1.2%
131 INTC INTEL CORP Technology 313,256 $13.8M 0.11% -184K -37.0%
132 CTAS CINTAS CORP Industrials 81,277 $13.7M 0.11% -35K -30.1%
133 MSI MOTOROLA SOLUTIONS INC Technology 31,617 $13.7M 0.11% -14K -30.3%
134 SIMON PPTY GROUP INC NEW 73,366 $13.7M 0.11% -14K -16.4%
135 GSG ISHARES TR Financial Services 73,630 $13.3M 0.11% NEW
136 ARMK ARAMARK Industrials 328,469 $13.3M 0.11% NEW
137 MNST MONSTER BEVERAGE CORP NEW Consumer Defensive 182,612 $13.2M 0.11% +3K +1.5%
138 CSX CSX CORP Industrials 318,716 $13.1M 0.11% -3K -0.8%
139 TRV TRAVELERS COMPANIES INC Financial Services 43,900 $12.8M 0.10% -3K -6.0%
140 NU HLDGS LTD 886,004 $12.7M 0.10% +810K +1073.2%
141 GSG ISHARES TR Financial Services 195,297 $12.6M 0.10% +26K +15.2%
142 GSG ISHARES TR Financial Services 50,230 $12.5M 0.10% +34K +214.8%
143 AME AMETEK INC Industrials 57,036 $12.2M 0.10% -57K -49.9%
144 VAW VANGUARD WORLD FD 53,997 $12.2M 0.10% +26K +93.4%
145 WAL WESTERN DIGITAL CORP Financial Services 44,628 $12.1M 0.10% +37K +501.5%
146 GSG ISHARES TR Financial Services 104,386 $12.0M 0.10% NEW
147 ISHARES INC 222,667 $11.8M 0.10% +155K +227.3%
148 FANG DIAMONDBACK ENERGY INC Energy 59,331 $11.7M 0.10% -28K -32.4%
149 IVR INVESCO EXCHANGE TRADED FD T Real Estate 191,813 $11.6M 0.09% +14K +8.1%
150 GSG ISHARES TR Financial Services 61,306 $11.4M 0.09% NEW
151 NOW SERVICENOW INC Technology 105,522 $11.0M 0.09% -103K -49.4%
152 AA ALCOA CORP Basic Materials 163,616 $10.9M 0.09% NEW
153 PYPL PAYPAL HLDGS INC Financial Services 238,811 $10.8M 0.09% +68K +39.5%
154 GSG ISHARES TR Financial Services 115,382 $10.8M 0.09% +46K +67.4%
155 ADSK AUTODESK INC Technology 44,904 $10.8M 0.09% -6K -11.2%
156 ED CONSOLIDATED EDISON INC Utilities 93,149 $10.5M 0.09% +14K +17.7%
157 FIX COMFORT SYS USA INC Industrials 7,535 $10.4M 0.08% +642 +9.3%
158 MO ALTRIA GROUP INC Consumer Defensive 157,430 $10.4M 0.08%
159 EWJ ISHARES INC 113,112 $9.6M 0.08% -40K -26.0%
160 CRWD CROWDSTRIKE HLDGS INC Technology 23,803 $9.3M 0.07% +18K +306.3%
161 GSG ISHARES TR Financial Services 257,601 $9.1M 0.07% +70K +37.6%
162 GSG ISHARES TR Financial Services 93,001 $9.0M 0.07% -24K -20.7%
163 ISHARES INC 230,354 $8.8M 0.07% -116K -33.5%
164 HEICO CORP NEW 41,229 $8.7M 0.07%
165 GSG ISHARES TR Financial Services 75,819 $8.6M 0.07% +16K +26.7%
166 SEI SOLARIS ENERGY INFRAS INC Energy 151,469 $8.6M 0.07% -23K -13.2%
167 CMI CUMMINS INC Industrials 15,538 $8.4M 0.07% +4K +31.9%
168 DE DEERE & CO Industrials 14,414 $8.1M 0.07% -6K -28.1%
169 VT VANGUARD INTL EQUITY INDEX F 57,237 $7.9M 0.06% +5K +10.1%
170 FOXA FOX CORP Communication Services 135,046 $7.9M 0.06% -12K -8.3%
171 SNOW SNOWFLAKE INC Technology 51,725 $7.8M 0.06% -16K -23.1%
172 VGT VANGUARD WORLD FD 11,100 $7.7M 0.06% +1K +15.4%
173 SBUX STARBUCKS CORP Consumer Cyclical 85,043 $7.6M 0.06% +2K +2.7%
174 GSG ISHARES TR Financial Services 133,787 $7.5M 0.06% +27K +24.9%
175 MWA MUELLER INDS INC Industrials 67,382 $7.5M 0.06% -1K -1.6%
176 ODFL OLD DOMINION FREIGHT LINE IN Industrials 37,466 $7.3M 0.06%
177 SMTC SEMTECH CORP Technology 95,000 $7.3M 0.06% +10K +11.8%
178 XLV SELECT SECTOR SPDR TR 49,567 $7.3M 0.06% +6K +14.1%
179 GSG ISHARES TR Financial Services 33,773 $7.1M 0.06% +3K +10.9%
180 TSM TAIWAN SEMICONDUCTOR MANUFAC Technology 20,657 $7.0M 0.06% +2K +10.1%
181 ITGR INTEGER HLDGS CORP Healthcare 78,863 $6.9M 0.06% +953 +1.2%
182 BABA ALIBABA GROUP HLDG LTD Consumer Cyclical 55,077 $6.9M 0.06% +12K +27.7%
183 XLE SELECT SECTOR SPDR TR 110,659 $6.8M 0.06% +8K +7.4%
184 MRNA MODERNA INC Healthcare 133,029 $6.8M 0.05% -74K -35.8%
185 CNC CENTENE CORP DEL Healthcare 203,243 $6.7M 0.05% +4K +2.1%
186 VTIP VANGUARD MALVERN FDS 130,387 $6.5M 0.05%
187 AMGN AMGEN INC Healthcare 17,774 $6.3M 0.05% -9K -33.4%
188 XLP SELECT SECTOR SPDR TR 75,216 $6.2M 0.05% -6K -7.2%
189 EMR EMERSON ELEC CO Industrials 46,739 $6.1M 0.05% +9K +23.6%
190 WFC WELLS FARGO & CO Financial Services 76,773 $6.1M 0.05% +28K +57.4%
191 JNJ JOHNSON & JOHNSON Healthcare 24,090 $5.9M 0.05% -28K -53.5%
192 GSG ISHARES TR Financial Services 161,157 $5.8M 0.05% +66K +68.7%
193 UBS UBS GROUP AG Financial Services 140,956 $5.6M 0.04% +136K +2691.8%
194 GSG ISHARES TR Financial Services 66,511 $5.5M 0.04% +4K +6.9%
195 NUE NUCOR CORP Basic Materials 31,962 $5.4M 0.04% +6K +23.0%
196 EBAY EBAY INC. Consumer Cyclical 59,192 $5.4M 0.04% +25K +74.8%
197 LYB LYONDELLBASELL INDUSTRIES NV Basic Materials 65,223 $5.3M 0.04% -35K -35.0%
198 WIX WIX COM LTD Technology 58,182 $5.2M 0.04% -55K -48.8%
199 GSG ISHARES TR Financial Services 77,716 $5.2M 0.04% NEW
200 EQIX EQUINIX INC Real Estate 5,254 $5.2M 0.04% +2K +66.9%
201 SUNB SUNBELT RENTALS HOLDINGS INC Financial Services 78,667 $5.1M 0.04% NEW
202 XLY SELECT SECTOR SPDR TR 46,977 $5.1M 0.04% +10K +28.7%
203 GSG ISHARES TR Financial Services 35,598 $5.0M 0.04% +5K +14.8%
204 GSG ISHARES TR Financial Services 94,017 $5.0M 0.04% +22K +31.3%
205 NVO NOVO-NORDISK A S Healthcare 134,137 $4.9M 0.04% +44K +48.1%
206 ESGV VANGUARD WORLD FD 43,500 $4.9M 0.04% +6K +16.6%
207 B BARRICK MNG CORP Basic Materials 113,726 $4.8M 0.04% +38K +49.5%
208 GSG ISHARES TR Financial Services 90,716 $4.8M 0.04% +15K +19.4%
209 GSG ISHARES TR Financial Services 53,830 $4.7M 0.04%
210 EXPD EXPEDITORS INTL WASH INC Industrials 32,027 $4.6M 0.04% -14K -29.8%
211 IEMG ISHARES INC 64,376 $4.5M 0.04% -28K -30.2%
212 GSG ISHARES TR Financial Services 77,235 $4.4M 0.04% +39K +102.4%
213 FORD MTR CO 383,596 $4.4M 0.04% +50K +15.1%
214 BX BLACKSTONE INC Financial Services 37,907 $4.4M 0.04% +19K +104.5%
215 GSG ISHARES TR Financial Services 64,984 $4.4M 0.04% -59K -47.4%
216 PWR QUANTA SVCS INC Industrials 7,889 $4.3M 0.04% -2K -19.7%
217 TDG TRANSDIGM GROUP INC Industrials 3,596 $4.2M 0.03% +955 +36.2%
218 YUM YUM BRANDS INC Consumer Cyclical 25,492 $4.0M 0.03%
219 HOOD ROBINHOOD MKTS INC Financial Services 56,580 $3.9M 0.03% +49K +643.3%
220 PCRX PACIRA BIOSCIENCES INC Healthcare 166,000 $3.8M 0.03% +10K +6.4%
221 GSG ISHARES TR Financial Services 35,188 $3.7M 0.03% NEW
222 SEI INVTS CO 47,549 $3.7M 0.03%
223 HLT HILTON WORLDWIDE HLDGS INC Consumer Cyclical 12,143 $3.7M 0.03% -5K -28.1%
224 GGAL GRUPO FINANCIERO GALICIA S.A Financial Services 78,064 $3.6M 0.03% +24K +44.8%
225 GSG ISHARES TR Financial Services 10,855 $3.6M 0.03% +425 +4.1%
226 HWM HOWMET AEROSPACE INC Industrials 15,189 $3.5M 0.03%
227 GSG ISHARES TR Financial Services 17,940 $3.4M 0.03% -3K -14.7%
228 ELV ELEVANCE HEALTH INC FORMERLY Healthcare 11,500 $3.4M 0.03% +3K +32.5%
229 TXN TEXAS INSTRS INC Technology 17,014 $3.3M 0.03% -12K -41.5%
230 TRAX FIRST TR EXCHANGE TRADED FD Healthcare 83,519 $3.3M 0.03% NEW
231 INTU INTUIT Technology 7,387 $3.2M 0.03% -24K -76.7%
232 CVNA CARVANA CO Consumer Cyclical 10,141 $3.2M 0.03% NEW
233 ZTS ZOETIS INC Healthcare 26,746 $3.2M 0.03% +14K +104.0%
234 GSG ISHARES TR Financial Services 38,430 $3.1M 0.03% NEW
235 GSG ISHARES TR Financial Services 28,185 $3.1M 0.03% +3K +13.5%
236 BLK BLACKROCK INC Financial Services 3,023 $2.9M 0.02% +1K +64.7%
237 KHC KRAFT HEINZ CO Consumer Defensive 127,765 $2.9M 0.02% -382K -74.9%
238 UPSTART HLDGS INC 109,300 $2.8M 0.02% +69K +169.7%
239 SPGI S&P GLOBAL INC Financial Services 6,308 $2.7M 0.02% -43K -87.3%
240 AAL AMERICAN EXPRESS CO Industrials 8,772 $2.7M 0.02% -11K -56.0%
241 HAS HASBRO INC Consumer Cyclical 27,972 $2.6M 0.02% -287K -91.1%
242 TRAX FIRST TR EXCHANGE TRADED FD Healthcare 55,896 $2.6M 0.02%
243 XP XP INC Financial Services 134,898 $2.6M 0.02% +101K +300.3%
244 ENPH ENPHASE ENERGY INC Energy 67,855 $2.6M 0.02% -29K -29.7%
245 COP CONOCOPHILLIPS Energy 19,099 $2.5M 0.02% -5K -20.2%
246 YPF YPF SOCIEDAD ANONIMA Energy 54,297 $2.5M 0.02% -85K -61.2%
247 XYZ BLOCK INC Technology 41,109 $2.5M 0.02% -505 -1.2%
248 SPDR SERIES TRUST 13,282 $2.4M 0.02% +3K +29.2%
249 RIO RIO TINTO PLC Basic Materials 25,702 $2.4M 0.02% +2K +9.2%
250 GEV GE VERNOVA INC Utilities 2,595 $2.3M 0.02% +2K +335.4%
251 AMP AMERIPRISE FINL INC Financial Services 5,068 $2.3M 0.02% -579 -10.2%
252 ILMN ILLUMINA INC Healthcare 17,978 $2.2M 0.02% -6K -26.0%
253 ISHARES INC 55,258 $2.2M 0.02% +32K +135.4%
254 XLRE SELECT SECTOR SPDR TR 53,420 $2.2M 0.02% +26K +95.1%
255 PEP PEPSICO INC Consumer Defensive 13,893 $2.2M 0.02% -2K -11.6%
256 GLOBAL X FDS 88,227 $2.1M 0.02%
257 VERX VERTEX INC Technology 174,826 $2.1M 0.02% -10K -5.4%
258 GSG ISHARES TR Financial Services 28,617 $2.0M 0.02% -2K -5.9%
259 ABT ABBOTT LABORATORIES Healthcare 19,190 $2.0M 0.02% -14K -42.7%
260 PLD PROLOGIS INC. Real Estate 14,718 $1.9M 0.02% +12K +397.6%
261 BANK NEW YORK MELLON CORP 16,293 $1.9M 0.02% +14K +555.6%
262 ORCL ORACLE CORP Technology 43,397 $1.9M 0.02% NEW
263 LRN STRIDE INC Consumer Defensive 21,872 $1.9M 0.02% +10K +87.8%
264 DBX ETF TR 39,450 $1.9M 0.01% -14K -25.9%
265 DHR DANAHER CORP DEL Healthcare 10,127 $1.9M 0.01% -4K -29.3%
266 GSG ISHARES TR Financial Services 37,440 $1.9M 0.01% -14K -26.6%
267 ABNB AIRBNB INC Consumer Cyclical 15,059 $1.9M 0.01% -2K -12.3%
268 PPG INDS INC 17,753 $1.9M 0.01% -13K -41.9%
269 AS AMER SPORTS INC Consumer Cyclical 56,606 $1.9M 0.01% +37K +186.2%
270 MMM 3M CO Industrials 12,807 $1.9M 0.01% NEW
271 FDS FACTSET RESH SYS INC Financial Services 8,471 $1.8M 0.01%
272 PAM PAMPA ENERGIA SA Utilities 20,733 $1.8M 0.01% +14K +231.8%
273 KLAC KLA CORP Technology 1,237 $1.8M 0.01% -390 -24.0%
274 TECK TECK RESOURCES LTD Basic Materials 33,336 $1.8M 0.01% NEW
275 ISHARES INC 23,506 $1.8M 0.01% -132 -0.6%
276 TIMB TIM S A Communication Services 66,306 $1.8M 0.01% +12K +23.2%
277 EA ELECTRONIC ARTS INC Communication Services 8,593 $1.8M 0.01% NEW
278 ADP AUTOMATIC DATA PROCESSING IN Industrials 8,442 $1.7M 0.01% -7K -46.1%
279 DUK DUKE ENERGY CORP NEW Utilities 13,054 $1.7M 0.01% NEW
280 ALL ALLSTATE CORP Financial Services 8,240 $1.7M 0.01% NEW
281 JBS JBS N.V. Consumer Defensive 94,827 $1.7M 0.01% NEW
282 MCO MOODYS CORP Financial Services 3,877 $1.7M 0.01%
283 AAL AMERICAN TOWER CORP Industrials 9,777 $1.7M 0.01% NEW
284 JAZZ JAZZ PHARMACEUTICALS PLC Healthcare 8,804 $1.7M 0.01% NEW
285 IDXX IDEXX LABS INC Healthcare 2,951 $1.7M 0.01% NEW
286 NVR NVR INC Consumer Cyclical 249 $1.6M 0.01% +29 +13.2%
287 GMF SPDR INDEX SHS FDS 12,048 $1.6M 0.01% +2K +19.1%
288 WWD WOODWARD INC Industrials 4,556 $1.6M 0.01% NEW
289 OXY OCCIDENTAL PETE CORP Energy 25,043 $1.6M 0.01% -5K -16.4%
290 FTNT FORTINET INC Technology 19,552 $1.6M 0.01% -29K -59.9%
291 FTV FORTIVE CORP Technology 28,324 $1.6M 0.01% +5K +23.3%
292 SNY SANOFI SA Healthcare 31,879 $1.5M 0.01% +1K +4.2%
293 CELSIUS HLDGS INC 43,177 $1.5M 0.01% NEW
294 MELI MERCADOLIBRE INC Consumer Cyclical 884 $1.5M 0.01% -566 -39.0%
295 SPOT SPOTIFY TECHNOLOGY S A Communication Services 3,143 $1.5M 0.01% +2K +151.4%
296 AAL AMERICAN AIRLINES GROUP INC Industrials 140,969 $1.5M 0.01% NEW
297 HPQ HP INC Technology 78,614 $1.5M 0.01% +33K +72.7%
298 WDAY WORKDAY INC Technology 11,575 $1.5M 0.01%
299 PI IMPINJ INC Technology 14,624 $1.5M 0.01%
300 VIST VISTA ENERGY S.A.B. DE C.V. Energy 19,710 $1.5M 0.01% -30K -60.0%
301 FEZ SPDR INDEX SHS FDS 23,870 $1.5M 0.01% +5K +29.2%
302 DAL DELTA AIR LINES INC Industrials 22,198 $1.5M 0.01% -121K -84.5%
303 COR CENCORA INC Healthcare 4,665 $1.5M 0.01% NEW
304 LOWES COS INC 5,960 $1.4M 0.01% +3K +101.3%
305 PM PHILIP MORRIS INTL INC Consumer Defensive 8,507 $1.4M 0.01% -84K -90.8%
306 XLI SELECT SECTOR SPDR TR 8,688 $1.4M 0.01% +987 +12.8%
307 PDD PDD HOLDINGS INC Consumer Cyclical 13,430 $1.4M 0.01% +664 +5.2%
308 GSG ISHARES GOLD TR Financial Services 15,300 $1.3M 0.01%
309 ARGX ARGENX SE Healthcare 1,847 $1.3M 0.01% NEW
310 VALE VALE S A Basic Materials 84,625 $1.3M 0.01% -179K -67.9%
311 IVR INVESCO EXCH TRADED FD TR II Real Estate 28,905 $1.3M 0.01%
312 ONC BEONE MEDICINES LTD Healthcare 4,469 $1.3M 0.01% NEW
313 SYK STRYKER CORPORATION Healthcare 3,999 $1.3M 0.01% +85 +2.2%
314 ALC ALCON AG Healthcare 17,369 $1.3M 0.01% +2K +11.2%
315 CCL CARNIVAL CORP Consumer Cyclical 49,936 $1.3M 0.01% +27K +118.9%
316 WT WISDOMTREE TR Financial Services 25,365 $1.3M 0.01%
317 RBRK RUBRIK INC. Technology 26,006 $1.3M 0.01% NEW
318 BCAL SOUTHERN COPPER CORP Financial Services 7,000 $1.2M 0.01%
319 VTR VENTAS INC Real Estate 14,443 $1.2M 0.01% -698 -4.6%
320 DELL DELL TECHNOLOGIES INC Technology 7,119 $1.2M 0.01% -17K -70.1%
321 LEU CENTRUS ENERGY CORP Energy 6,666 $1.2M 0.01% NEW
322 CRCL CIRCLE INTERNET GROUP INC Financial Services 12,128 $1.2M 0.01% NEW
323 CRDO CREDO TECHNOLOGY GROUP HOLDI Technology 12,174 $1.1M 0.01% NEW
324 AZN ASTRAZENECA PLC Healthcare 5,688 $1.1M 0.01% NEW
325 LAUR LAUREATE ED INC Consumer Defensive 32,757 $1.1M 0.01% -2K -6.1%
326 ON HLDG AG 33,492 $1.1M 0.01% +14K +71.0%
327 FSLR FIRST SOLAR INC Energy 5,437 $1.1M 0.01% NEW
328 ISHARES INC 19,304 $1.1M 0.01% +4K +22.3%
329 UAC UNITED AIRLS HLDGS INC Financial Services 11,262 $1.0M 0.01% NEW
330 RIOT RIOT PLATFORMS INC Financial Services 82,004 $1.0M 0.01% NEW
331 MPWR MONOLITHIC PWR SYS INC Technology 892 $975K 0.01% -2K -68.7%
332 PBR.A PETROLEO BRASILEIRO S A 45,530 $945K 0.01% -389K -89.5%
333 EQT EQT CORP Energy 14,502 $923K 0.01%
334 BBDO BANCO BRADESCO S A Financial Services 252,846 $923K 0.01% +142K +128.3%
335 AAL AMERICAN PUB ED INC Industrials 15,654 $890K 0.01% -1K -6.3%
336 ISHARES INC 19,307 $874K 0.01% +2K +11.9%
337 URI UNITED RENTALS INC Industrials 1,150 $838K 0.01% +100 +9.5%
338 LULU LULULEMON ATHLETICA INC Consumer Cyclical 5,467 $837K 0.01% -2K -28.7%
339 ISHARES INC 6,700 $824K 0.01% NEW
340 PTON PELOTON INTERACTIVE INC Consumer Cyclical 181,917 $780K 0.01% +108K +145.3%
341 STNE STONECO LTD Technology 55,238 $780K 0.01% NEW
342 T AT&T INC Communication Services 26,720 $775K 0.01% -58K -68.3%
343 JBL JABIL INC Technology 2,900 $770K 0.01% -1K -25.6%
344 IDCC INTERDIGITAL INC Technology 2,534 $765K 0.01% NEW
345 STLD STEEL DYNAMICS INC Basic Materials 4,229 $761K 0.01% -3K -39.8%
346 VRT VERTIV HOLDINGS CO Industrials 3,024 $758K 0.01% -3K -49.9%
347 VLO VALERO ENERGY CORP Energy 2,991 $739K 0.01% +536 +21.8%
348 SHW SHERWIN WILLIAMS CO Basic Materials 2,282 $731K 0.01% NEW
349 GD GENERAL MTRS CO Industrials 9,781 $729K 0.01% -1K -13.1%
350 CL COLGATE PALMOLIVE CO Consumer Defensive 8,463 $721K 0.01% -120 -1.4%
351 MCK MCKESSON CORP Healthcare 815 $705K 0.01% -150 -15.5%
352 CBRE CBRE GROUP INC Real Estate 5,100 $691K 0.01% -1K -19.1%
353 XLC SELECT SECTOR SPDR TR 6,193 $687K 0.01% -44K -87.7%
354 ISHARES INC 10,947 $686K 0.01% -348 -3.1%
355 CMG CHIPOTLE MEXICAN GRILL INC Consumer Cyclical 21,134 $676K 0.01% -56K -72.6%
356 SNAP SNAP INC Communication Services 146,362 $673K 0.01% +133K +1012.0%
357 BKR BAKER HUGHES COMPANY Energy 10,930 $667K 0.01% +3K +39.2%
358 EVRG EVERGY INC Utilities 8,110 $664K 0.01% NEW
359 FISV FISERV INC Technology 11,875 $663K 0.01% -21K -64.0%
360 OTIS OTIS WORLDWIDE CORP Industrials 8,479 $654K 0.01% -27K -76.0%
361 GAP GAP INC Consumer Cyclical 26,795 $648K 0.01% +10K +59.5%
362 DG DOLLAR GEN CORP Consumer Defensive 5,450 $647K 0.01% -2K -23.2%
363 SOJF SOUTHERN CO Utilities 6,387 $616K 0.01%
364 FDX FEDEX CORP Industrials 1,722 $613K 0.01% -1K -40.6%
365 SHOP SHOPIFY INC Technology 5,083 $603K 0.01% +4K +262.3%
366 EWT ISHARES INC 8,500 $603K 0.01% NEW
367 CBNK CAPITAL ONE FINL CORP Financial Services 3,240 $591K 0.01% -144K -97.8%
368 ROST ROSS STORES INC Consumer Cyclical 2,666 $578K 0.01%
369 SPDW SPDR INDEX SHS FDS 12,420 $567K 0.01% +381 +3.2%
370 VCSH VANGUARD SCOTTSDALE FDS 7,139 $566K 0.01% +4K +114.5%
371 DASH DOORDASH INC Communication Services 3,671 $551K 0.00% +516 +16.4%
372 WEC WEC ENERGY GROUP INC Utilities 4,671 $541K 0.00% NEW
373 AMPY AMPLIFY ETF TR Energy 10,810 $538K 0.00% +3K +37.7%
374 INCY INCYTE CORP Healthcare 5,579 $525K 0.00%
375 SUN CMNTYS INC 4,078 $514K 0.00% -354 -8.0%
376 CCEP COCA-COLA EUROPACIFIC PARTNE Consumer Defensive 5,448 $494K 0.00%
377 GLP GLOBAL PMTS INC Energy 7,228 $486K 0.00% NEW
378 BAH BOOZ ALLEN HAMILTON HLDG COR Industrials 6,150 $480K 0.00% NEW
379 AZO AUTOZONE INC Consumer Cyclical 137 $463K 0.00% -620 -81.9%
380 ITAU UNIBANCO HLDG S A 55,038 $461K 0.00% +20K +58.3%
381 MET METLIFE INC Financial Services 6,388 $452K 0.00%
382 VZ VERIZON COMMUNICATIONS INC Communication Services 8,648 $434K 0.00% -95K -91.7%
383 MAR MARRIOTT INTL INC NEW Consumer Cyclical 1,320 $432K 0.00% -12K -89.8%
384 GALLAGHER ARTHUR J & CO 1,983 $429K 0.00%
385 TFC TRUIST FINL CORP Financial Services 9,237 $425K 0.00% +420 +4.8%
386 FITBI FIFTH THIRD BANCORP Financial Services 9,007 $418K 0.00% +2K +28.7%
387 BA BOEING CO Industrials 6,203 $402K 0.00%
388 USB US BANCORP Financial Services 7,648 $398K 0.00%
389 UGI UGI CORP NEW Utilities 10,652 $388K 0.00% NEW
390 QSR RESTAURANT BRANDS INTL INC Consumer Cyclical 5,248 $388K 0.00% NEW
391 GH GUARDANT HEALTH INC Healthcare 4,193 $387K 0.00% NEW
392 RUN SUNRUN INC Energy 28,210 $383K 0.00% NEW
393 XBI SPDR SERIES TRUST 2,959 $378K 0.00% +794 +36.7%
394 PRKS UNITED PARCEL SVCS INC Consumer Cyclical 3,703 $364K 0.00% -1K -26.3%
395 GSG ISHARES TR Financial Services 3,246 $358K 0.00%
396 INVZ INNOVIZ TECHNOLOGIES LTD Consumer Cyclical 559,530 $354K 0.00% +282K +101.7%
397 EW EDWARDS LIFESCIENCES CORP Healthcare 4,389 $351K 0.00%
398 KOS KOSMOS ENERGY LTD Energy 124,536 $346K 0.00% -30K -19.4%
399 CVS CVS HEALTH CORP Healthcare 4,797 $345K 0.00% +2K +71.5%
400 IVR INVESCO EXCHANGE TRADED FD T Real Estate 2,554 $335K 0.00%
401 STT STATE STR SPDR DOW JONES IND Financial Services 713 $330K 0.00%
402 HAL HALLIBURTON CO Energy 8,291 $323K 0.00% +1K +14.9%
403 GSG ISHARES TR Financial Services 3,449 $320K 0.00%
404 CI THE CIGNA GROUP Healthcare 1,195 $319K 0.00% -78 -6.1%
405 CTSH COGNIZANT TECHNOLOGY SOLUTIO Technology 5,132 $315K 0.00%
406 TRAX FIRST TR EXCHANGE-TRADED FD Healthcare 2,710 $303K 0.00% -410 -13.1%
407 ECL ECOLAB INC Basic Materials 1,139 $303K 0.00%
408 LMT LOCKHEED MARTIN CORP Industrials 500 $302K 0.00% NEW
409 GSG ISHARES TR Financial Services 3,180 $302K 0.00% NEW
410 RCL ROYAL CARIBBEAN GROUP Consumer Cyclical 1,097 $302K 0.00%
411 ASHR DBX ETF TR 9,000 $294K 0.00% -9K -50.0%
412 ON ON SEMICONDUCTOR CORP Technology 4,695 $291K 0.00% NEW
413 LOGI LOGITECH INTL S A Technology 3,081 $283K 0.00% NEW
414 GLW CORNING INC Technology 2,070 $281K 0.00% NEW
415 CPAY CORPAY INC Technology 963 $280K 0.00%
416 HALO HALOZYME THERAPEUTICS INC Healthcare 4,311 $279K 0.00% NEW
417 CDNS CADENCE DESIGN SYSTEM INC Technology 1,001 $278K 0.00%
418 LDOS LEIDOS HOLDINGS INC Technology 1,777 $276K 0.00% -9K -84.0%
419 KDP KEURIG DR PEPPER INC Consumer Defensive 10,464 $276K 0.00%
420 ISHARES INC 9,893 $275K 0.00% -957 -8.8%
421 ISHARES INC 4,663 $274K 0.00% +1K +34.9%
422 ALB ALBEMARLE CORP Basic Materials 1,527 $274K 0.00% -18K -92.0%
423 CEPU CENTRAL PUERTO S A Utilities 15,942 $268K 0.00% -1K -6.6%
424 EXPE EXPEDIA GROUP INC Consumer Cyclical 1,156 $267K 0.00%
425 GSG ISHARES TR Financial Services 3,901 $265K 0.00% -283 -6.8%
426 EOG RES INC 1,817 $263K 0.00% NEW
427 TNDM TANDEM DIABETES CARE INC Healthcare 13,700 $263K 0.00% NEW
428 CARR CARRIER GLOBAL CORPORATION Industrials 4,565 $257K 0.00%
429 AFFIRM HLDGS INC 5,586 $256K 0.00% NEW
430 APPS DIGITAL RLTY TR INC Technology 1,410 $254K 0.00%
431 GLBS GLOBUS MED INC Industrials 2,946 $254K 0.00% NEW
432 TRAX FIRST TR EXCHANGE-TRADED FD Healthcare 3,290 $251K 0.00% -220 -6.3%
433 SPDR SERIES TRUST 9,548 $248K 0.00%
434 APP APPLOVIN CORP Technology 611 $243K 0.00% -2K -74.7%
435 GSG ISHARES TR Financial Services 2,000 $242K 0.00%
436 ASTS AST SPACEMOBILE INC Technology 2,868 $238K 0.00% NEW
437 CAKE CHEESECAKE FACTORY INC Consumer Cyclical 4,261 $233K 0.00% NEW
438 APO APOLLO GLOBAL MGMT INC Financial Services 2,086 $232K 0.00%
439 STZ CONSTELLATION BRANDS INC Consumer Defensive 1,548 $232K 0.00% -3K -63.6%
440 GSG ISHARES TR Financial Services 2,458 $231K 0.00%
441 RF REGIONS FINANCIAL CORP NEW Financial Services 8,730 $228K 0.00%
442 CHD CHURCH & DWIGHT CO INC Consumer Defensive 2,436 $227K 0.00%
443 MLM MARTIN MARIETTA MATLS INC Basic Materials 386 $227K 0.00%
444 IVR INVESCO EXCHANGE TRADED FD T Real Estate 3,390 $227K 0.00% -550 -14.0%
445 SBSW SIBANYE STILLWATER LTD Basic Materials 18,206 $224K 0.00% -3K -13.7%
446 ISHARES INC 3,432 $222K 0.00% -200K -98.3%
447 PCG PG&E CORP Utilities 12,521 $220K 0.00% -747 -5.6%
448 GSG ISHARES TR Financial Services 7,560 $220K 0.00% NEW
449 HCA HCA HEALTHCARE INC Healthcare 463 $219K 0.00%
450 CATH GLOBAL X FDS 2,736 $214K 0.00%
451 PCAR PACCAR INC Industrials 1,802 $208K 0.00% NEW
452 GXO GXO LOGISTICS INCORPORATED Industrials 3,996 $207K 0.00% NEW
453 MAS MASCO CORP Industrials 3,425 $207K 0.00%
454 TRAX FIRST TR EXCHANGE-TRADED FD Healthcare 1,890 $207K 0.00% -1K -36.1%
455 AMRZ AMRIZE LTD Basic Materials 3,685 $206K 0.00% NEW
456 CNRG SPDR SERIES TRUST 2,270 $205K 0.00% -890 -28.2%
457 FDBC FIDELITY NATL INFORMATION SV Financial Services 4,331 $203K 0.00%
458 AXON AXON ENTERPRISE INC Industrials 475 $202K 0.00% NEW
459 ARCC ARES CAPITAL CORP Financial Services 10,779 $194K 0.00%
460 FLNC FLUENCE ENERGY INC Utilities 13,773 $190K 0.00% NEW
461 SMR NUSCALE PWR CORP Utilities 16,024 $174K 0.00% NEW
462 NTLA INTELLIA THERAPEUTICS INC Healthcare 13,029 $167K 0.00%
463 REAL THE REALREAL INC Consumer Cyclical 18,335 $166K 0.00% -1K -7.2%
464 LOMA LOMA NEGRA C I A S A MTN 14 Basic Materials 10,638 $118K 0.00% -678 -6.0%
465 KULR KULR TECHNOLOGY GROUP INC Technology 37,114 $88K 0.00% +7K +24.7%
466 LAR LITHIUM ARGENTINA AG Basic Materials 13,036 $87K 0.00% +1K +12.1%
467 GSM FERROGLOBE PLC Basic Materials 14,859 $61K
468 TIDAL TRUST II 11,012 $60K
469 BYND BEYOND MEAT INC Consumer Defensive 57,752 $41K
470 PLUG PWR INC 13,274 $30K
Sector Allocation
Financial Services 40.8%
Technology 20.6%
Industrials 8.7%
Consumer Cyclical 6.7%
Communication Services 6.0%
Energy 5.3%
Healthcare 4.8%
Consumer Defensive 3.3%
Real Estate 1.9%
Utilities 1.1%