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Registro del gestor

First Eagle Investment Management, LLC

New York, NY · CIK 1325447 · Declaraciones EDGAR ↗

Q2 2026 Q1 2026 Q4 2025 Dif. ⇄
$59.92BValor 13F declarado
614Posiciones
Ponderación del top 10
Posiciones efectivas
0.0%Rotación est.
+0Nuevo
−412Cierres

El valor de cartera 13F declarado cubre únicamente posiciones largas estadounidenses sujetas a reporte — no incluye efectivo, bonos, posiciones cortas ni activos no estadounidenses. No equivale a activos bajo gestión.

Valor declarado por trimestre Q4 2025 → Q2 2026
El portafolio · Q2 2026
#ValorPonderaciónValorAccionesΔ accionesMantenida
1 ALPHABET INC (sin mapear) $2.53B 7.15M
2 BECTON DICKINSON & CO (sin mapear) $2.05B 13.54M
3 META PLATFORMS INC (sin mapear) $1.78B 3.16M
4 TAIWAN SEMICONDUCTOR MANUFAC (sin mapear) $1.61B 3.37M
5 FOMENTO ECONOMICO MEXICANO S (sin mapear) $1.59B 12.44M
6 ELEVANCE HEALTH INC FORMERLY (sin mapear) $1.59B 4.10M
7 WHEATON PRECIOUS METALS CORP (sin mapear) $1.54B 13.73M
8 IMPERIAL OIL LTD (sin mapear) $1.43B 12.79M
9 SLB LIMITED (sin mapear) $1.32B 28.33M
10 BANK OF NY MELLON CORP (sin mapear) $1.31B 9.07M
11 HCA HEALTHCARE INC (sin mapear) $1.26B 3.23M
12 ORACLE CORP (sin mapear) $1.22B 8.33M
13 WEYERHAEUSER CO (sin mapear) $1.20B 50.16M
14 AUTOMATIC DATA PROCESSING IN (sin mapear) $1.13B 5.06M
15 WILLIS TOWERS WATSON PLC LTD (sin mapear) $1.13B 4.32M
16 SALESFORCE INC (sin mapear) $1.13B 7.19M
17 FRANCO NEV CORP (sin mapear) $1.07B 5.11M
18 WORKDAY INC (sin mapear) $1.06B 8.64M
19 MEDTRONIC PLC (sin mapear) $1.06B 13.49M
20 AMBEV SA (sin mapear) $1.05B 333.70M
21 NEWMONT CORP (sin mapear) $1.03B 11.00M
22 PHILIP MORRIS INTL INC (sin mapear) $1.01B 5.57M
23 ONEOK INC NEW (sin mapear) $1.01B 11.59M
24 COMCAST CORP NEW (sin mapear) $921.52M 37.54M
25 BOOKING HOLDINGS INC (sin mapear) $858.48M 4.82M
26 AGNICO EAGLE MINES LTD (sin mapear) $806.00M 5.19M
27 PPG INDS INC (sin mapear) $772.55M 6.37M
28 BIO RAD LABS INC (sin mapear) $750.50M 2.56M
29 COLGATE PALMOLIVE CO (sin mapear) $737.51M 8.04M
30 BROWN & BROWN INC (sin mapear) $737.47M 11.50M
31 INTERNATIONAL FLAVORS&FRAGRA (sin mapear) $730.77M 9.22M
32 MICROSOFT CORP (sin mapear) $716.32M 1.92M
33 BARRICK MNG CORP (sin mapear) $707.76M 19.27M
34 C H ROBINSON WORLDWIDE IN (sin mapear) $670.72M 3.56M
35 UNIVERSAL HLTH SVCS INC (sin mapear) $663.68M 4.46M
36 EQUITY RESIDENTIAL (sin mapear) $634.52M 9.34M
37 BXP INC (sin mapear) $614.01M 9.26M
38 NUTRIEN LTD (sin mapear) $601.85M 9.56M
39 SPDR GOLD TR (sin mapear) $587.70M 1.60M
40 AMERICAN EXPRESS CO (sin mapear) $553.96M 1.64M
41 NOV INC (sin mapear) $553.69M 29.85M
42 EXTRA SPACE STORAGE INC (sin mapear) $551.35M 3.79M
43 US BANCORP (sin mapear) $539.05M 8.92M
44 OMNICOM GROUP INC (sin mapear) $526.61M 7.23M
45 FISERV INC (sin mapear) $524.92M 10.70M
46 NOBLE CORP PLC (sin mapear) $511.90M 13.72M
47 DOLLAR GEN CORP (sin mapear) $507.21M 4.41M
48 DISNEY WALT CO (sin mapear) $503.58M 5.23M
49 CHARTER COMMUNICATIONS INC (sin mapear) $499.07M 3.51M
50 WATERS CORP (sin mapear) $488.81M 1.30M
51 CARLISLE COS INC (sin mapear) $447.83M 1.23M
52 CULLEN FROST BANKERS INC (sin mapear) $429.20M 2.78M
53 BERKSHIRE HATHAWAY INC DEL (sin mapear) $423.10M 565
54 FIDELITY NATL FINL INC (sin mapear) $416.24M 8.83M
55 MAGNUM ICE CREAM CO NV (sin mapear) $389.03M 22.35M
56 IPG PHOTONICS CORP (sin mapear) $381.10M 3.25M
57 CUMMINS INC (sin mapear) $372.86M 522.80K
58 DEERE & CO (sin mapear) $340.56M 536.88K
59 SPDR GOLD TR (sin mapear) $330.16M 896.26K
60 EXPEDITORS INTL WASH INC (sin mapear) $320.61M 1.97M
61 WARRIOR MET COAL INC (sin mapear) $306.89M 3.78M
62 ALAMOS GOLD INC (sin mapear) $186.87M 6.17M
63 ALPHABET INC (sin mapear) $185.43M 518.88K
64 TAIWAN SEMICONDUCTOR MANUFAC (sin mapear) $177.29M 371.24K
65 ROYAL GOLD INC (sin mapear) $172.02M 861.79K
66 DOUGLAS EMMETT INC (sin mapear) $164.71M 13.96M
67 COMPANIA CERVECERIAS UNIDAS (sin mapear) $164.04M 14.65M
68 FERGUSON ENTERPRISES INC (sin mapear) $156.41M 659.05K
69 KINROSS GOLD CORP (sin mapear) $151.52M 6.41M
70 ANGLOGOLD ASHANTI PLC (sin mapear) $120.58M 1.49M
71 GOLD FIELDS LTD (sin mapear) $118.77M 3.54M
72 PAN AMERN SILVER CORP (sin mapear) $108.26M 2.42M
73 BRITISH AMERN TOB PLC (sin mapear) $104.71M 1.70M
74 SPDR SERIES TRUST (sin mapear) $98.71M 1.08M
75 IMPERIAL OIL LTD (sin mapear) $89.56M 799.52K
76 SHELL PLC (sin mapear) $82.38M 1.06M
77 FOMENTO ECONOMICO MEXICANO S (sin mapear) $72.79M 569.09K
78 ENTERPRISE PRODS PARTNERS L (sin mapear) $71.98M 1.96M
79 PHILIP MORRIS INTL INC (sin mapear) $63.67M 351.94K
80 ALPHABET INC (sin mapear) $58.69M 166.11K
81 WHEATON PRECIOUS METALS CORP (sin mapear) $54.35M 483.88K
82 NEWMONT CORP (sin mapear) $52.83M 565.65K
83 UNILEVER PLC (sin mapear) $49.99M 831.45K
84 ULTRA CLEAN HLDGS INC (sin mapear) $49.59M 347.79K
85 AMBEV SA (sin mapear) $49.04M 15.62M
86 ORLA MNG LTD NEW (sin mapear) $46.58M 4.77M
87 NOVAGOLD RESOURCES INC (sin mapear) $44.69M 7.49M
88 DIAGEO PLC (sin mapear) $43.96M 546.92K
89 VISHAY INTERTECHNOLOGY INC (sin mapear) $43.88M 816.00K
90 SILICON MOTION TECHNOLOGY CO (sin mapear) $41.89M 125.67K
91 COCA-COLA FEMSA SAB DE CV (sin mapear) $41.73M 392.74K
92 WILLIS TOWERS WATSON PLC LTD (sin mapear) $41.73M 159.64K
93 BECTON DICKINSON & CO (sin mapear) $41.65M 275.25K
94 COHU INC (sin mapear) $40.53M 548.40K
95 LLOYDS BANKING GROUP PLC (sin mapear) $40.38M 6.93M
96 HALEON PLC (sin mapear) $38.86M 4.16M
97 BANK OF AMER CORP (sin mapear) $37.18M 29.64K
98 BROOKDALE SR LIVING INC (sin mapear) $37.01M 2.30M
99 B2GOLD CORP (sin mapear) $36.36M 9.70M
100 HINGE HEALTH INC (sin mapear) $35.70M 430.14K
101 MATERION CORP (sin mapear) $35.48M 119.30K
102 VEECO INSTRS INC DEL (sin mapear) $35.15M 463.73K
103 BENCHMARK ELECTRS INC (sin mapear) $34.62M 350.88K
104 ADVANCED ENERGY INDS (sin mapear) $34.12M 91.50K
105 ENPRO INC (sin mapear) $33.97M 90.11K
106 FRANCO NEV CORP (sin mapear) $33.15M 159.06K
107 ELEVANCE HEALTH INC FORMERLY (sin mapear) $32.72M 84.61K
108 DUCOMMUN INC DEL (sin mapear) $32.67M 176.38K
109 RELX PLC (sin mapear) $32.56M 1.03M
110 META PLATFORMS INC (sin mapear) $32.45M 57.61K
111 ROGERS CORP (sin mapear) $30.82M 188.22K
112 LINCOLN EDL SVCS CORP (sin mapear) $30.71M 615.53K
113 ONTO INNOVATION INC (sin mapear) $30.00M 79.28K
114 WELLS FARGO & CO (sin mapear) $29.78M 25.74K
115 AMERIS BANCORP (sin mapear) $29.68M 328.86K
116 TTM TECHNOLOGIES INC (sin mapear) $29.43M 157.34K
117 INSTALLED BLDG PRODS INC (sin mapear) $29.31M 127.53K
118 ITAU UNIBANCO HLDG S A (sin mapear) $28.56M 3.50M
119 BANK OF NY MELLON CORP (sin mapear) $28.16M 194.72K
120 PLEXUS CORP (sin mapear) $27.67M 92.03K
121 SLB LIMITED (sin mapear) $27.15M 583.91K
122 KAISER ALUMINIUM CORPORATION (sin mapear) $27.08M 138.40K
123 ORACLE CORP (sin mapear) $27.07M 184.68K
124 QUAKER HOUGHTON (sin mapear) $25.88M 162.91K
125 NUTRIEN LTD (sin mapear) $25.84M 410.50K
126 OLD NATL BANCORP IND (sin mapear) $25.56M 986.80K
127 CECO ENVIRONMENTAL CORP (sin mapear) $24.89M 274.25K
128 HCA HEALTHCARE INC (sin mapear) $24.84M 63.72K
129 SPECTRUM BRANDS HOLDINGS INC (sin mapear) $24.79M 289.12K
130 MAMAS CREATIONS INC (sin mapear) $24.62M 1.38M
131 AUTOMATIC DATA PROCESSING IN (sin mapear) $24.49M 109.35K
132 WEYERHAEUSER CO (sin mapear) $24.41M 1.02M
133 UNIVERSAL TECHNICAL INST INC (sin mapear) $24.38M 570.08K
134 REMITLY GLOBAL INC (sin mapear) $24.04M 1.07M
135 GRAHAM CORP (sin mapear) $24.03M 194.11K
136 BARRICK MNG CORP (sin mapear) $23.83M 648.92K
137 HARMONIC INC (sin mapear) $23.61M 1.45M
138 MEDTRONIC PLC (sin mapear) $23.03M 294.40K
139 CAE INC (sin mapear) $22.99M 919.31K
140 LOUISIANA PAC CORP (sin mapear) $22.94M 291.65K
141 MARAVAI LIFESCIENCES HLDGS I (sin mapear) $22.91M 3.67M
142 WORKDAY INC (sin mapear) $22.83M 186.50K
143 BERKSHIRE HATHAWAY INC DEL (sin mapear) $22.34M 44.64K
144 HERC HLDGS INC (sin mapear) $22.26M 155.29K
145 TE CONNECTIVITY PLC (sin mapear) $22.14M 109.79K
146 COMMERCIAL METALS CO (sin mapear) $21.98M 350.30K
147 DORMAN PRODS INC (sin mapear) $21.65M 158.64K
148 AMBIQ MICRO INC (sin mapear) $21.58M 244.39K
149 SEACOAST BKG CORP FLA (sin mapear) $21.53M 647.39K
150 ONEOK INC NEW (sin mapear) $21.19M 243.73K
151 PENNANT GROUP INC (sin mapear) $21.08M 570.50K
152 AXOS FINANCIAL INC (sin mapear) $20.77M 213.27K
153 TIMKEN CO (sin mapear) $20.67M 142.25K
154 AMERESCO INC (sin mapear) $20.67M 748.92K
155 ALBANY INTL CORP (sin mapear) $20.27M 272.13K
156 FLYWIRE CORPORATION (sin mapear) $20.27M 1.15M
157 CRYOPORT INC (sin mapear) $19.96M 1.27M
158 FULLER H B CO (sin mapear) $19.77M 339.25K
159 SIMULATIONS PLUS INC (sin mapear) $19.59M 1.07M
160 AMTECH SYS INC (sin mapear) $19.57M 848.06K
161 DORIAN LPG LTD (sin mapear) $19.46M 559.42K
162 CONCENTRA GROUP HOLDINGS PAR (sin mapear) $19.27M 647.86K
163 NAVIGATOR HLDGS LTD (sin mapear) $19.20M 1.03M
164 LITHIA MTRS INC (sin mapear) $19.16M 65.97K
165 CABOT CORP (sin mapear) $18.93M 208.45K
166 EXTREME NETWORKS INC (sin mapear) $18.86M 582.64K
167 HOME DEPOT INC (sin mapear) $18.61M 52.76K
168 ARCOSA INC (sin mapear) $18.57M 127.80K
169 PARK-OHIO HLDGS CORP (sin mapear) $18.37M 477.85K
170 WESCO INTL INC (sin mapear) $18.22M 52.75K
171 GOLAR LNG LTD (sin mapear) $17.96M 360.32K
172 BOOKING HOLDINGS INC (sin mapear) $17.83M 100.04K
173 SPDR SERIES TRUST (sin mapear) $17.71M 236.57K
174 ABM INDS INC (sin mapear) $17.69M 399.97K
175 UNITEDHEALTH GROUP INC (sin mapear) $17.60M 42.35K
176 SALESFORCE INC (sin mapear) $17.52M 111.83K
177 ELEMENT SOLUTIONS INC (sin mapear) $17.51M 366.60K
178 CHEFS WHSE INC (sin mapear) $17.44M 181.46K
179 BELDEN INC (sin mapear) $17.43M 145.34K
180 ADTRAN HOLDINGS INC (sin mapear) $17.35M 1.25M
181 CAREDX INC (sin mapear) $17.05M 598.22K
182 PPG INDS INC (sin mapear) $17.03M 140.40K
183 FORMFACTOR INC (sin mapear) $16.97M 106.10K
184 EL POLLO LOCO HLDGS INC (sin mapear) $16.89M 995.80K
185 LIFESTANCE HEALTH GROUP INC (sin mapear) $16.74M 1.56M
186 CENTURY ALUM CO (sin mapear) $16.67M 362.26K
187 TITAN MACHY INC (sin mapear) $16.62M 786.90K
188 ASTEC INDS INC (sin mapear) $16.62M 271.60K
189 FLOWCO HLDGS INC (sin mapear) $16.61M 778.57K
190 GRIFFON CORP (sin mapear) $16.60M 170.16K
191 COMPANIA CERVECERIAS UNIDAS (sin mapear) $16.50M 1.47M
192 VALLEY NATL BANCORP (sin mapear) $16.38M 1.12M
193 TAYLOR MORRISON HOME CORP (sin mapear) $16.33M 227.60K
194 AXIS CAP HLDGS LTD (sin mapear) $16.33M 151.95K
195 MURPHY OIL CORP (sin mapear) $16.20M 497.40K
196 HEALTHSTREAM INC (sin mapear) $16.13M 591.90K
197 TRANSCAT INC (sin mapear) $16.11M 173.70K
198 OIL STS INTL INC (sin mapear) $16.07M 2.01M
199 TRINITY INDS INC (sin mapear) $16.02M 463.19K
200 COVENANT LOGISTICS GROUP INC (sin mapear) $15.86M 358.93K
201 SCORPIO TANKERS INC (sin mapear) $15.84M 228.72K
202 AXOGEN INC (sin mapear) $15.75M 340.95K
203 ASTRONICS CORP (sin mapear) $15.66M 192.73K
204 TEXAS INSTRS INC (sin mapear) $15.64M 52.46K
205 COMCAST CORP NEW (sin mapear) $15.63M 636.64K
206 NOV INC (sin mapear) $15.51M 836.35K
207 INSTEEL INDS INC (sin mapear) $15.45M 511.45K
208 I3 VERTICALS INC (sin mapear) $15.44M 723.01K
209 LSB INDS INC (sin mapear) $15.34M 1.42M
210 C H ROBINSON WORLDWIDE IN (sin mapear) $15.30M 81.25K
211 DIGI INTL INC (sin mapear) $15.23M 203.26K
212 GATES INDL CORP PLC (sin mapear) $15.01M 536.80K
213 NATURAL GAS SVCS GROUP INC (sin mapear) $15.00M 347.69K
214 BOISE CASCADE CO DEL (sin mapear) $14.99M 193.15K
215 SMARTFINANCIAL INC (sin mapear) $14.98M 319.34K
216 TRIMAS CORP (sin mapear) $14.93M 331.56K
217 BROWN & BROWN INC (sin mapear) $14.85M 231.47K
218 COLGATE PALMOLIVE CO (sin mapear) $14.79M 161.28K
219 ACCENTURE PLC IRELAND (sin mapear) $14.75M 118.54K
220 MANITOWOC CO INC (sin mapear) $14.72M 1.06M
221 BIO RAD LABS INC (sin mapear) $14.71M 50.12K
222 INTERNATIONAL FLAVORS&FRAGRA (sin mapear) $14.67M 185.18K
223 TALOS ENERGY INC (sin mapear) $14.55M 1.13M
224 STRIDE INC (sin mapear) $14.47M 167.80K
225 PERELLA WEINBERG PARTNERS (sin mapear) $14.38M 900.86K
226 AMERICAN EXPRESS CO (sin mapear) $14.35M 42.43K
227 SONOS INC (sin mapear) $14.28M 1.06M
228 NETGEAR INC (sin mapear) $14.27M 611.25K
229 OTIS WORLDWIDE CORP (sin mapear) $14.21M 198.48K
230 RILEY EXPLORATION PERMIAN IN (sin mapear) $14.20M 430.95K
231 DYCOM INDS INC (sin mapear) $14.17M 28.03K
232 OUTFRONT MEDIA INC (sin mapear) $14.02M 428.04K
233 SYNAPTICS INC (sin mapear) $13.99M 112.61K
234 MARINEMAX INC (sin mapear) $13.86M 378.45K
235 MAYVILLE ENGR CO INC (sin mapear) $13.84M 369.57K
236 DISNEY WALT CO (sin mapear) $13.79M 143.30K
237 BXP INC (sin mapear) $13.77M 207.59K
238 PHOENIX ED PARTNERS INC (sin mapear) $13.65M 415.51K
239 RED RIVER BANCSHARES INC (sin mapear) $13.63M 149.35K
240 AXCELIS TECHNOLOGIES INC (sin mapear) $13.63M 71.92K
241 MATRIX SVC CO (sin mapear) $13.56M 989.81K
242 UNIVERSAL HLTH SVCS INC (sin mapear) $13.55M 91.16K
243 DIME COML BANCSHARES INC (sin mapear) $13.48M 331.54K
244 HEALTHCARE SVCS GROUP INC (sin mapear) $13.46M 548.03K
245 BLACK HILLS CORP (sin mapear) $13.24M 177.94K
246 BRAZE INC (sin mapear) $13.23M 609.81K
247 WHITESTONE REIT (sin mapear) $13.22M 697.24K
248 FRONTVIEW REIT INC (sin mapear) $13.17M 650.83K
249 FLOWSERVE CORP (sin mapear) $13.15M 177.34K
250 STAR BULK CARRIERS CORP. (sin mapear) $12.86M 515.00K
251 EQUITY RESIDENTIAL (sin mapear) $12.79M 188.35K
252 FTAI INFRASTRUCTURE INC (sin mapear) $12.74M 2.75M
253 MAGNITE INC (sin mapear) $12.73M 670.79K
254 UMH PPTYS INC (sin mapear) $12.61M 833.22K
255 DOUBLEVERIFY HLDGS INC (sin mapear) $12.57M 1.16M
256 SI BONE INC (sin mapear) $12.55M 768.70K
257 ONE GAS INC (sin mapear) $12.39M 160.76K
258 LINCOLN NATL CORP IND (sin mapear) $12.33M 348.75K
259 COLUMBIA BKG SYS INC (sin mapear) $12.33M 384.60K
260 JBT MAREL CORPORATION (sin mapear) $12.22M 84.30K
261 STRATA CRITICAL MEDICAL INC (sin mapear) $12.19M 2.31M
262 RADNET INC (sin mapear) $12.03M 195.04K
263 EXTRA SPACE STORAGE INC (sin mapear) $11.98M 82.46K
264 US BANCORP (sin mapear) $11.98M 198.33K
265 CHAMPION HOMES INC (sin mapear) $11.94M 135.50K
266 WATERS CORP (sin mapear) $11.91M 31.75K
267 QUANTERIX CORP (sin mapear) $11.89M 2.75M
268 NMI HLDGS INC (sin mapear) $11.87M 288.87K
269 TENNANT CO (sin mapear) $11.63M 132.86K
270 HUNTSMAN CORP (sin mapear) $11.62M 1.09M
271 MAGNUM ICE CREAM CO NV (sin mapear) $11.61M 666.78K
272 AAR CORP (sin mapear) $11.58M 81.00K
273 FABRINET (sin mapear) $11.56M 20.56K
274 BERKSHIRE HATHAWAY INC DEL (sin mapear) $11.50M 22.99K
275 NPK INTERNATIONAL INC (sin mapear) $11.47M 721.00K
276 QXO INC (sin mapear) $11.45M 662.68K
277 OSI SYSTEMS INC (sin mapear) $11.40M 52.15K
278 OLD REP INTL CORP (sin mapear) $11.37M 277.78K
279 CENTRAL GARDEN & PET CO (sin mapear) $11.24M 289.94K
280 INTEST CORP (sin mapear) $11.13M 612.60K
281 PROPETRO HLDG CORP (sin mapear) $11.13M 775.83K
282 STEVANATO GROUP S P A (sin mapear) $11.05M 611.29K
283 NETSCOUT SYS INC (sin mapear) $10.82M 248.40K
284 ITRON INC (sin mapear) $10.82M 124.99K
285 DOLLAR GEN CORP (sin mapear) $10.78M 93.66K
286 DINE BRANDS GLOBAL INC (sin mapear) $10.63M 296.15K
287 CHEESECAKE FACTORY INC (sin mapear) $10.63M 133.59K
288 IPG PHOTONICS CORP (sin mapear) $10.61M 90.47K
289 INTREPID POTASH INC (sin mapear) $10.61M 323.55K
290 VSE CORP (sin mapear) $10.38M 45.42K
291 ENSIGN GROUP INC (sin mapear) $10.35M 64.58K
292 VISHAY PRECISION GROUP INC (sin mapear) $10.34M 69.00K
293 TANGER INC (sin mapear) $10.31M 261.20K
294 CUSTOM TRUCK ONE SOURCE INC (sin mapear) $10.17M 861.28K
295 VIAVI SOLUTIONS INC (sin mapear) $10.17M 212.90K
296 UTZ BRANDS INC (sin mapear) $10.15M 1.32M
297 ARLO TECHNOLOGIES INC (sin mapear) $10.14M 752.20K
298 CUMMINS INC (sin mapear) $10.03M 14.07K
299 CROSS CTRY HEALTHCARE INC (sin mapear) $9.87M 747.28K
300 CEVA INC (sin mapear) $9.86M 209.12K
301 GROCERY OUTLET HLDG CORP (sin mapear) $9.84M 986.01K
302 ENVISTA HOLDINGS CORPORATION (sin mapear) $9.82M 372.50K
303 MISTRAS GROUP INC (sin mapear) $9.68M 553.86K
304 CHARTER COMMUNICATIONS INC (sin mapear) $9.66M 67.95K
305 PARSONS CORP DEL (sin mapear) $9.39M 179.26K
306 AVIDBANK HLDGS INC (sin mapear) $9.38M 284.04K
307 LSI INDS INC OHIO (sin mapear) $9.06M 340.82K
308 DENTSPLY SIRONA INC (sin mapear) $9.03M 851.35K
309 CONCRETE PUMPING HLDGS INC (sin mapear) $8.87M 736.50K
310 QUANEX BLDG PRODS CORP (sin mapear) $8.83M 474.07K
311 EXPEDITORS INTL WASH INC (sin mapear) $8.77M 53.83K
312 WARBY PARKER INC (sin mapear) $8.74M 288.00K
313 CADRE HLDGS INC (sin mapear) $8.74M 306.46K
314 NOBLE CORP PLC (sin mapear) $8.71M 233.44K
315 RADIAN GROUP INC (sin mapear) $8.66M 229.80K
316 ALPHATEC HLDGS INC (sin mapear) $8.62M 996.64K
317 ONEWATER MARINE INC (sin mapear) $8.54M 757.67K
318 ATRICURE INC (sin mapear) $8.33M 297.64K
319 OMNICOM GROUP INC (sin mapear) $8.20M 112.60K
320 NATIONAL VISION HLDGS INC (sin mapear) $8.16M 429.43K
321 STEWART INFORMATION SVCS COR (sin mapear) $8.13M 123.07K
322 908 DEVICES INC (sin mapear) $8.09M 929.99K
323 AVIAT NETWORKS INC (sin mapear) $8.00M 360.46K
324 WARRIOR MET COAL INC (sin mapear) $7.93M 97.73K
325 SEACOR MARINE HLDGS INC (sin mapear) $7.91M 1.03M
326 RANPAK HOLDINGS CORP (sin mapear) $7.81M 1.07M
327 ARTIVION INC (sin mapear) $7.78M 346.44K
328 DNOW INC (sin mapear) $7.78M 599.53K
329 ALKAMI TECHNOLOGY INC (sin mapear) $7.71M 425.73K
330 FISERV INC (sin mapear) $7.65M 155.97K
331 HOOKER FURNISHINGS CORPORATI (sin mapear) $7.49M 420.07K
332 MICROSOFT CORP (sin mapear) $7.42M 19.89K
333 COEUR MNG INC (sin mapear) $7.41M 454.12K
334 JOHNSON OUTDOORS INC (sin mapear) $7.39M 160.59K
335 MOELIS & CO (sin mapear) $7.20M 110.00K
336 FIDELITY NATL FINL INC (sin mapear) $7.11M 150.78K
337 VITAL FARMS INC (sin mapear) $7.03M 604.68K
338 TITAN AMER SA (sin mapear) $6.94M 371.95K
339 TERADATA CORP DEL (sin mapear) $6.94M 200.27K
340 FLOTEK INDUSTRIES INC (sin mapear) $6.90M 293.24K
341 SEADRILL LTD (sin mapear) $6.76M 178.81K
342 AVEANNA HEALTHCARE HLDGS INC (sin mapear) $6.55M 764.67K
343 PEPSICO INC (sin mapear) $6.53M 48.21K
344 AMN HEALTHCARE SVCS INC (sin mapear) $6.35M 196.21K
345 SMITH DOUGLAS HOMES CORP (sin mapear) $6.28M 404.27K
346 IDACORP INC (sin mapear) $6.28M 41.51K
347 COLUMBUS MCKINNON CORP N Y (sin mapear) $6.23M 412.04K
348 HECLA MINING COMPANY (sin mapear) $6.20M 402.00K
349 PROGYNY INC (sin mapear) $6.15M 213.21K
350 VIEMED HEALTHCARE INC (sin mapear) $6.10M 535.16K
351 TITAN INTL INC ILL (sin mapear) $6.02M 780.64K
352 INFUSYSTEM HLDGS INC (sin mapear) $5.98M 620.00K
353 COURSERA INC (sin mapear) $5.97M 1.06M
354 MARKETAXESS HLDGS INC (sin mapear) $5.62M 49.56K
355 STRAWBERRY FIELDS REIT INC (sin mapear) $5.57M 404.89K
356 BRC GROUP HOLDINGS INC (sin mapear) $5.47M 680.96K
357 EVERQUOTE INC (sin mapear) $5.47M 229.76K
358 CAL MAINE FOODS INC (sin mapear) $5.40M 67.00K
359 RAMACO RES INC (sin mapear) $5.23M 612.06K
360 RADIANT LOGISTICS INC (sin mapear) $5.23M 552.51K
361 INSEEGO CORP (sin mapear) $5.20M 503.85K
362 ESAB CORPORATION (sin mapear) $5.07M 51.42K
363 DIANA SHIPPING INC (sin mapear) $4.96M 2.36M
364 OUTDOOR HOLDING CO (sin mapear) $4.89M 2.14M
365 ORASURE TECHNOLOGIES INC (sin mapear) $4.73M 1.06M
366 INTERFACE INC (sin mapear) $4.49M 125.14K
367 FORBRIGHT INC (sin mapear) $4.39M 240.00K
368 HELIX ENERGY SOLUTIONS GRP I (sin mapear) $4.22M 483.36K
369 ANGIODYNAMICS INC (sin mapear) $3.60M 276.44K
370 ROSS STORES INC (sin mapear) $3.58M 16.82K
371 CERTARA INC (sin mapear) $3.40M 519.53K
372 ALTA EQUIPMENT GROUP INC (sin mapear) $3.36M 520.00K
373 CITIZENS INC (sin mapear) $3.35M 584.05K
374 ALTISOURCE PORTFOLIO SOLUTIO (sin mapear) $3.27M 435.69K
375 VAIL RESORTS INC (sin mapear) $3.24M 23.77K
376 RPC INC (sin mapear) $3.18M 544.65K
377 TALKSPACE INC (sin mapear) $3.14M 604.02K
378 AEBI SCHMIDT HLDG AG (sin mapear) $3.08M 245.30K
379 PROFOUND MED CORP (sin mapear) $2.93M 440.21K
380 WENDYS CO (sin mapear) $2.92M 352.60K
381 DOUGLAS ELLIMAN INC (sin mapear) $2.90M 1.64M
382 APPLIED AEROSPACE & DEFENSE (sin mapear) $2.85M 125.00K
383 LUXFER HLDGS PLC (sin mapear) $2.84M 157.50K
384 KVH INDS INC (sin mapear) $2.81M 283.33K
385 RICHARDSON ELECTRS LTD (sin mapear) $2.76M 145.00K
386 FLEX LTD (sin mapear) $2.68M 16.51K
387 EASTMAN KODAK CO (sin mapear) $2.65M 286.00K
388 ETHAN ALLEN INTERIORS INC (sin mapear) $2.57M 115.23K
389 MATIV HOLDINGS INC (sin mapear) $2.40M 316.49K
390 SONIDA SENIOR LIVING INC (sin mapear) $2.35M 57.50K
391 AIRGAIN INC (sin mapear) $2.17M 344.40K
392 NATURES SUNSHINE PRODS INC (sin mapear) $2.15M 98.80K
393 WABASH NATL CORP (sin mapear) $1.89M 140.00K
394 VAREX IMAGING CORP (sin mapear) $1.87M 179.50K
395 NVENT ELEC PLC (sin mapear) $1.75M 10.34K
396 STARBUCKS CORP (sin mapear) $1.74M 17.00K
397 ENTEGRIS INC (sin mapear) $1.71M 9.52K
398 TENET HEALTHCARE CORP (sin mapear) $1.70M 9.10K
399 QUEST DIAGNOSTICS INC (sin mapear) $1.61M 7.58K
400 TRIVAGO N V (sin mapear) $1.55M 283.44K
401 LITTELFUSE INC (sin mapear) $1.54M 3.38K
402 MATADOR RES CO (sin mapear) $1.49M 30.00K
403 FLEXSTEEL INDS INC (sin mapear) $1.49M 20.00K
404 BRITISH AMERN TOB PLC (sin mapear) $1.45M 23.48K
405 EXAGEN INC (sin mapear) $1.43M 306.96K
406 GENERAC HLDGS INC (sin mapear) $1.43M 4.87K
407 CHARTER COMMUNICATIONS INC (sin mapear) $1.42M 10.00K
408 DELTA AIR LINES INC (sin mapear) $1.42M 15.17K
409 FOSSIL GROUP INC (sin mapear) $1.41M 340.00K
410 CARDINAL HEALTH INC (sin mapear) $1.40M 5.90K
411 VOYA FINANCIAL INC (sin mapear) $1.36M 15.00K
412 EVERCORE INC (sin mapear) $1.35M 3.94K
413 QUANTA SVCS INC (sin mapear) $1.33M 1.85K
414 CELSIUS HLDGS INC (sin mapear) $1.33M 45.28K
415 RYMAN HOSPITALITY PPTYS INC (sin mapear) $1.31M 10.16K
416 NATIONAL CINEMEDIA INC (sin mapear) $1.31M 343.71K
417 INNIO NV (sin mapear) $1.29M 32.50K
418 FTAI AVIATION LTD (sin mapear) $1.26M 4.67K
419 JAMES HARDIE INDS PLC (sin mapear) $1.26M 48.18K
420 COHERENT CORP (sin mapear) $1.24M 3.15K
421 SHARKNINJA INC (sin mapear) $1.24M 8.12K
422 PERMIAN RESOURCES CORP (sin mapear) $1.22M 66.47K
423 BAKER HUGHES COMPANY (sin mapear) $1.22M 22.00K
424 DPC HOLDINGS PLC (sin mapear) $1.20M 24.43K
425 HUNT J B TRANS SVCS INC (sin mapear) $1.17M 4.03K
426 HF SINCLAIR CORP (sin mapear) $1.16M 16.69K
427 HOLLEY INC (sin mapear) $1.16M 455.80K
428 CLEAN HARBORS INC (sin mapear) $1.15M 3.86K
429 FIRST EAGLE ETF TR (sin mapear) $1.15M 30.00K
430 DOW HLDGS INC (sin mapear) $1.09M 40.00K
431 ROCKET COS INC (sin mapear) $1.06M 67.50K
432 PERFORMANCE FOOD GROUP CO (sin mapear) $1.04M 9.29K
433 FIRST EAGLE ETF TR (sin mapear) $1.01M 30.00K
434 TOLL BROTHERS INC (sin mapear) $988,500 6.00K
435 CIENA CORP (sin mapear) $981,120 2.00K
436 CASEYS GEN STORES INC (sin mapear) $953,748 1.20K
437 LANTHEUS HLDGS INC (sin mapear) $887,520 8.00K
438 CURTISS WRIGHT CORP (sin mapear) $872,182 1.15K
439 REGAL REXNORD CORPORATION (sin mapear) $854,388 3.59K
440 ARAMARK (sin mapear) $853,500 15.00K
441 SHELL PLC (sin mapear) $845,264 10.90K
442 SANMINA CORP (sin mapear) $809,856 3.20K
443 OLIN CORP (sin mapear) $792,800 40.00K
444 HURCO CO (sin mapear) $686,850 30.00K
445 XPO INC (sin mapear) $669,451 3.26K
446 UNILEVER PLC (sin mapear) $664,987 11.06K
447 PULTE GROUP INC (sin mapear) $645,436 4.70K
448 DIAGEO PLC (sin mapear) $581,630 7.24K
449 EQUINIX INC (sin mapear) $567,060 544
450 HALEON PLC (sin mapear) $558,811 59.89K
451 RELIANCE INC (sin mapear) $544,709 1.46K
452 EXELIXIS INC (sin mapear) $544,100 10.00K
453 OTIS WORLDWIDE CORP (sin mapear) $528,408 7.38K
454 TEXAS ROADHOUSE INC (sin mapear) $488,099 2.53K
455 UNITED RENTALS INC (sin mapear) $464,485 410
456 LLOYDS BANKING GROUP PLC (sin mapear) $442,182 75.85K
457 BLACK STONE MINERALS L P (sin mapear) $409,111 29.29K
458 RELX PLC (sin mapear) $405,218 12.79K
459 UGI CORP NEW (sin mapear) $394,481 11.42K
460 SOUTHWEST AIRLS CO (sin mapear) $359,940 7.00K
461 ITAU UNIBANCO HLDG S A (sin mapear) $330,231 40.42K
462 RAYMOND JAMES FINL INC (sin mapear) $316,526 2.08K
463 WILLIAMS COS INC (sin mapear) $314,533 4.23K
464 CRH PLC (sin mapear) $309,658 2.89K
465 CANADIAN PACIFIC KANSAS CITY (sin mapear) $299,511 3.46K
466 COLLIERS INTL GROUP INC (sin mapear) $291,968 3.11K
467 DONALDSON INC (sin mapear) $287,264 3.20K
468 TRANSALTA CORP (sin mapear) $281,377 20.36K
469 CANADIAN NATL RY CO (sin mapear) $279,327 2.34K
470 EASTGROUP PPTYS INC (sin mapear) $223,188 1.10K
471 WESTLAKE CORPORATION (sin mapear) $203,232 2.78K
472 ISHARES GOLD TR (sin mapear) $201,461 2.67K
473 RPM INTL INC (sin mapear) $192,401 1.73K
474 SUNBELT RENTALS HOLDINGS INC (sin mapear) $136,145 1.87K
475 AMERICAN WTR WKS CO INC NEW (sin mapear) $79,211 602
476 GENERAL DYNAMICS CORP (sin mapear) $34,361 97
477 TARGA RES CORP (sin mapear) $21,183 79
478 SILICON MOTION TECHNOLOGY CO (sin mapear) $20,666 62
479 ULTRA CLEAN HLDGS INC (sin mapear) $19,535 137
480 TELEDYNE TECHNOLOGIES INC (sin mapear) $17,339 26
481 COHEN & STEERS INC (sin mapear) $16,066 211
482 OLD DOMINION FREIGHT LINE IN (sin mapear) $16,028 74
483 STERIS PLC (sin mapear) $15,372 73
484 WP CAREY INC (sin mapear) $15,158 212
485 REINSURANCE GROUP AMER INC (sin mapear) $14,886 70
486 TTM TECHNOLOGIES INC (sin mapear) $14,214 76
487 ON HLDG AG (sin mapear) $13,460 380
488 ALPHABET INC (sin mapear) $13,223 37
489 PLEXUS CORP (sin mapear) $12,628 42
490 ADVANCED ENERGY INDS (sin mapear) $12,305 33
491 GE HEALTHCARE TECHNOLOGIES I (sin mapear) $12,226 191
492 LOUISIANA PAC CORP (sin mapear) $11,956 152
493 VISHAY INTERTECHNOLOGY INC (sin mapear) $11,455 213
494 QUAKER HOUGHTON (sin mapear) $10,644 67
495 BUILDERS FIRSTSOURCE INC (sin mapear) $10,469 117
496 AIR PRODUCTS AND CHEMICALS I (sin mapear) $10,261 35
497 FLEX LTD (sin mapear) $9,724 60
498 COHU INC (sin mapear) $9,460 128
499 HOULIHAN LOKEY INC (sin mapear) $9,389 70
500 VEECO INSTRS INC DEL (sin mapear) $9,248 122

Solo posiciones de acciones ordinarias (SH); las líneas de opciones están en la pestaña Opciones y nunca se netean. ✂ = cambio calculado respecto a las acciones previas ajustadas por splits. "Mantenido N+" = mantenido cada trimestre en nuestra ventana, posiblemente más.

Historial de declaraciones
Aug 24 2026 13F-HR/A · período Q2 2026

enmienda · Ver presentación original ante la SEC ↗

Aug 05 2026 13F-HR · período Q2 2026

$59.92B · 614 posiciones · Ver presentación original ante la SEC ↗

May 14 2026 13F-HR/A · período Q1 2026

$59.00B · 602 posiciones · enmienda (restatement) · Ver presentación original ante la SEC ↗

May 12 2026 13F-HR · período Q1 2026

$75.57B · 602 posiciones · Ver presentación original ante la SEC ↗

Feb 04 2026 13F-HR · período Q4 2025

$56.82B · 597 posiciones · Ver presentación original ante la SEC ↗

Nov 12 2025 13F-HR · período Q3 2025

$54.92B · 546 posiciones · Ver presentación original ante la SEC ↗

Aug 06 2025 13F-HR · período Q2 2025

$50.93B · 527 posiciones · Ver presentación original ante la SEC ↗

Procedencia: Todas las posiciones analizadas de las tablas de información 13F de este gestor en SEC EDGAR; valores tal como se declararon, en USD enteros. Los cambios comparan la última versión aceptada de cada trimestre (enmiendas incorporadas) sobre recuentos de acciones ajustados por splits. Período de reporte: Q2 2026 · última presentación Aug 24, 2026 · Metodología de cambios