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Diff de portefeuille

Stifel Financial Corp

Q1 2026 ⇄ Q2 2026

+150Ajouté
−121Supprimé
200Redimensionné
82Inchangé

Ajouté (Q2 2026)

TitreValeurActions
HONA HONEYWELL AEROSPACE… $205.83M931.04K
SPCX SPACE EXPLORATION… $35.33M206.76K
CORO BLACKROCK ETF TRUST $35.24M962.91K
IALT BLACKROCK ETF TRUST $29.81M1.06M
GGOV BLACKROCK ETF TRUST II $25.19M500.93K
FDXF FEDEX FGHT HLDG CO INC $16.28M107.85K
TRI THOMSON REUTERS CORP $12.55M153.72K
XPEL XPEL INC $8.32M167.65K
IDGT ISHARES TR $4.82M40.27K
GOOGM ALPHABET INC $4.71M92.61K
FLYW FLYWIRE CORPORATION $4.54M258.63K
CSEN COHEN & STEERS ETF… $3.82M161.70K
CIGI COLLIERS INTL GROUP… $3.40M36.29K
ELCV STRATEGY SHS $3.35M102.05K
RVNU DBX ETF TR $3.32M131.15K
PWRL POWERLAW CORP $3.29M223.80K
SARO STANDARDAERO INC $3.08M102.88K
PSUS PERSHING SQUARE USA… $3.03M81.15K
ALGM ALLEGRO MICROSYSTEMS… $2.93M42.04K
CGAU CENTERRA GOLD INC $2.88M181.46K
EMKT LAZARD ACTIVE ETF TR $2.62M81.37K
RVMD REVOLUTION MEDICINES… $2.51M13.41K
PLXS PLEXUS CORP $2.41M8.01K
PEY INVESCO EXCHANGE… $2.12M91.62K
MAIR MADISON AIR SOLUTIONS… $2.07M53.09K
AFMC FIRST TR EXCHNG… $2.02M49.38K
GQI NATIXIS ETF TR $1.96M33.15K
SMCIP SUPER MICRO COMPUTER… $1.87M35.93K
LOAR LOAR HOLDINGS INC $1.80M22.38K
BEDY BNY MELLON ETF TRUST… $1.68M57.74K
MFSB MFS ACTIVE EXCHANGE… $1.66M66.76K
AGIX KRANESHARES TRUST $1.65M35.16K
MAX MEDIAALPHA INC $1.59M126.17K
CBRS CEREBRAS SYSTEMS INC $1.57M7.12K
EWW ISHARES INC $1.56M20.77K
ATEN A10 NETWORKS INC $1.51M40.37K
OII OCEANEERING INTL INC $1.43M35.21K
HNGE HINGE HEALTH INC $1.39M16.73K
WLFC WILLIS LEASE FIN CORP $1.32M5.79K
TLRY TILRAY BRANDS INC $1.31M290.86K
CDNL CARDINAL… $1.21M12.86K
ABM ABM INDS INC $1.21M27.31K
NASA TEMA ETF TRUST $1.19M39.06K
DIOD DIODES INC $1.13M10.31K
FPS FORGENT POWER… $1.13M20.14K
ELMT ELMET GROUP CO (THE) $1.08M54.70K
JGLO J P MORGAN EXCHANGE… $1.05M14.76K
KRYS KRYSTAL BIOTECH INC $1.04M2.80K
FER.MC FERROVIAL NV $1.02M14.84K
DDD 3D SYS CORP DEL $1.02M336.73K
UCB UNITED CMNTY BKS… $991,57128.26K
LCF TOUCHSTONE ETF TRUST $937,02221.70K
VFVA VANGUARD WELLINGTON FD $935,4076.30K
AVES AMERICAN CENTY ETF TR $904,68913.79K
MGNR AMERICAN BEACON… $895,60718.45K
XPRO EXPRO GROUP HOLDINGS… $788,18653.36K
FSCC FEDERATED HERMES ETF… $738,42519.78K
SKM SK TELECOM CO LTD $726,33722.59K
NBN NORTHEAST BK PORTLAND… $710,2295.36K
BOX BOX INC $696,38726.24K
LTM LATAM AIRLINES GROUP… $675,52511.59K
ERIC TELEFONAKTIEBOLAGET… $646,53357.98K
FWD AB ACTIVE ETFS INC $643,5814.34K
ETHA ISHARES ETHEREUM TR $640,27053.85K
INFQ INFLEQTION INC $631,56847.41K
UGP ULTRAPAR… $586,758116.88K
ANDG ANDERSEN GROUP INC $582,51015.44K
PMMF BLACKROCK ETF TRUST $568,0565.66K
STUB STUBHUB HLDGS INC $563,30743.77K
AEO AMERICAN EAGLE… $540,38931.42K
SNTH TIDAL TRUST III $539,21218.14K
XONE BONDBLOXX ETF TRUST $524,16110.62K
AVGE AMERICAN CENTY ETF TR $513,3785.18K
KF KOREA FD INC $511,3166.80K
CUZ COUSINS PPTYS INC $503,22216.79K
TNET TRINET GROUP INC $484,3059.79K
MGRC MCGRATH RENTCORP $479,0423.96K
ERO ERO COPPER CORP $451,04016.86K
NOMD NOMAD FOODS LTD $446,11340.74K
FSEA FIRST SEACOAST… $438,36026.00K
EVIM MORGAN STANLEY ETF… $426,1208.00K
DNTH DIANTHUS THERAPEUTICS… $424,4204.35K
ALKS ALKERMES PLC $420,9448.03K
HELE HELEN OF TROY LTD $420,93314.48K
FITE SPDR SERIES TRUST $418,4653.72K
AMSC AMERICAN… $414,6009.99K
HCC WARRIOR MET COAL INC $402,2754.96K
VECO VEECO INSTRS INC DEL $382,4115.04K
CGHY CAPITAL GRP FIXED… $382,02815.08K
ELM SERIES PORTFOLIOS TR $380,37712.98K
CNRG SPDR SERIES TRUST $377,0753.33K
ASHR DBX ETF TR $373,56510.19K
KOD KODIAK SCIENCES INC $369,1939.48K
AROW ARROW FINL CORP $368,5418.99K
ROE EA SERIES TRUST $363,2928.52K
LAUR LAUREATE ED INC $361,4249.95K
AIPO TIDAL TRUST II $358,29110.72K
CHCT COMMUNITY HEALTHCARE… $358,27419.60K
MIRM MIRUM PHARMACEUTICALS… $357,1823.05K
CRUX COLUMBIA ETF TR I $355,59311.86K
MSMR ETF SER SOLUTIONS $350,2609.96K
AIS TIDAL TRUST III $345,5914.05K
ELFY ALPS ETF TR $343,3087.64K
ADPT ADAPTIVE… $341,57015.92K
SOXQ INVESCO EXCH TRADED… $317,8672.83K
AXGN AXOGEN INC $317,7456.88K
PSDM PGIM ETF TR $315,5806.20K
RBCAA REPUBLIC BANCORP INC… $308,7193.41K
ZONE CLEANCORE SOLUTIONS… $295,200360.00K
CLB CORE LABORATORIES INC $292,32725.09K
MUST COLUMBIA ETF TR I $291,67814.02K
RVTY REVVITY INC $291,1672.62K
AAT AMERICAN ASSETS TR INC $286,00811.58K
FPAG INVESTMENT MANAGERS… $285,7057.12K
KMDA KAMADA LTD $281,84838.40K
JFLX J P MORGAN EXCHANGE… $280,9805.58K
BBWI BATH & BODY WORKS INC $279,70512.09K
SHAK SHAKE SHACK INC $276,0104.93K
THNQ EXCHANGE TRADED… $268,3392.94K
HFXI NEW YORK LIFE… $267,5857.03K
SYRE SPYRE THERAPEUTICS INC $267,3163.01K
TEX TEREX CORP NEW $266,9223.69K
HCI HCI GROUP INC $265,2201.51K
SCOP SPROTT PHYSICAL… $260,04522.84K
RXO RXO INC $254,6029.23K
BCH BANCO DE CHILE $247,5456.23K
EYLD CAMBRIA ETF TR $247,1675.44K
QDF FLEXSHARES TR $246,2902.74K
HYXF ISHARES TR $241,1465.16K
ORN ORION GROUP HLDGS INC $235,22513.98K
GLSI GREENWICH… $235,14110.02K
JAN JANUS LIVING INC $233,0218.11K
BSAC BANCO SANTANDER CHILE… $232,0787.05K
PDFS PDF SOLUTIONS INC $230,7023.26K
Z ZILLOW GROUP INC $229,3407.28K
DUOL DUOLINGO INC $228,7731.99K
BFS SAUL CTRS INC $227,4436.08K
FPXI FIRST TR… $227,4372.72K
JHPI JOHN HANCOCK EXCHANGE… $227,29410.01K
CSPF COHEN & STEERS ETF… $224,0018.59K
FFA FIRST TR ENHANCED… $223,82310.01K
IQDF FLEXSHARES TR $223,5676.47K
FOR FORESTAR GROUP INC $223,4497.06K
FDLS NORTHERN LTS FD TR IV $222,8055.27K
DCOR DIMENSIONAL ETF TRUST $221,1002.70K
SLM SLM CORP $219,9938.48K
CARZ FIRST TR… $219,0441.85K
ASCI ABRDN FDS $218,3275.96K
FMCB FARMERS & MERCHANTS… $216,9957.10K
OXM OXFORD INDS INC $215,8536.19K

Supprimé (était détenu dans Q1 2026)

TitreValeur antérieureActions à l'époque
CTRA COTERRA ENERGY INC $21.52M612.36K
HDGE ADVISORSHARES TR $5.26M293.15K
WIX WIX COM LTD $4.86M53.92K
WOR WORTHINGTON… $4.39M84.12K
SNWV SANUWAVE HEALTH INC $4.35M251.63K
CEVA CEVA INC $2.77M148.23K
LKFN LAKELAND FINL CORP $2.41M41.99K
GT GOODYEAR TIRE & RUBR… $2.22M334.43K
NXST NEXSTAR MEDIA GROUP… $1.94M10.73K
FLTR.L FLUTTER ENTMT PLC $1.82M17.89K
THR THERMON GROUP HLDGS… $1.73M34.42K
MNSO MINISO GROUP HLDG LTD $1.54M94.83K
EWZS ISHARES TR $1.52M102.31K
SCVL SHOE CARNIVAL INC $1.49M95.67K
UMC UNITED… $1.47M163.82K
PHI PLDT INC $1.42M67.47K
STEL STELLAR BANCORP INC $1.39M37.92K
CSIQ CANADIAN SOLAR INC $1.35M97.30K
ACNB ACNB CORP $1.33M27.80K
MOTI VANECK ETF TRUST $1.30M38.05K
USLM UNITED STS LIME &… $1.30M9.94K
CALX CALIX INC $1.29M26.39K
PAYP PAYPAY CORP $1.21M56.72K
BWX SPDR SERIES TRUST $1.19M54.24K
MKOR MATTHEWS ASIA FDS $1.19M27.28K
WWJD NORTHERN LTS FD TR IV $1.16M31.14K
APLS APELLIS… $1.14M28.22K
UMH UMH PPTYS INC $1.12M77.38K
OPPJ WISDOMTREE TR $1.09M20.00K
DNN DENISON MINES CORP $1.04M295.84K
SOCL GLOBAL X FDS $991,80222.91K
NFBK NORTHFIELD BANCORP… $957,73870.73K
FLJP FRANKLIN TEMPLETON… $929,57425.69K
HTBK HERITAGE COMM CORP $905,32172.54K
ACM AECOM $900,24810.61K
IVOV VANGUARD ADMIRAL FDS… $897,5268.80K
BIRK BIRKENSTOCK HOLDING… $790,77422.07K
STEP STEPSTONE GROUP INC $778,36016.31K
VNET VNET GROUP INC $773,08992.14K
MCR MFS CHARTER INCOME TR $669,301110.45K
FUTU FUTU HLDGS LTD $658,3664.81K
AZTA AZENTA INC $641,97830.38K
FOX FOX CORP $626,50011.80K
JHG JANUS HENDERSON GROUP… $616,15211.99K
RTH VANECK ETF TRUST $611,5372.44K
PFIS PEOPLES FINL SVCS CORP $608,92211.42K
OPCH OPTION CARE HEALTH INC $605,51222.49K
AMTM AMENTUM HOLDINGS INC $572,07421.93K
HOLX HOLOGIC INC $568,8927.53K
FXNC FIRST NATL CORP VA $524,40219.48K
DBND DOUBLELINE ETF TRUST $510,96711.15K
GXC SPDR INDEX SHS FDS $464,8024.99K
FRAF FRANKLIN FINL SVCS… $459,7209.00K
SEE SEALED AIR CORP NEW $445,99010.61K
SFD SMITHFIELD FOODS INC $408,14014.59K
TNK TEEKAY TANKERS LTD $396,9295.41K
FIVN FIVE9 INC $395,67926.08K
SPSC SPS COMM INC $387,7316.96K
TERN TERNS PHARMACEUTICALS… $376,8437.15K
LZB LA Z BOY INC $362,45411.28K
FCBC FIRST CMNTY… $340,7558.21K
FBP FIRST BANCORP… $339,37615.89K
IMCR IMMUNOCORE HLDGS PLC $338,34911.22K
GTE GRAN TIERRA ENERGY INC $331,96537.01K
FRO FRONTLINE PLC $329,2289.44K
NXJ NUVEEN NEW JERSEY $326,10826.51K
KOS KOSMOS ENERGY LTD $322,464115.99K
ESTC ELASTIC N V $316,7436.34K
BBHL BBH TR $314,68320.95K
FIG FIGMA INC $313,54914.83K
BLFY BLUE FOUNDRY BANCORP $303,19622.90K
STNG SCORPIO TANKERS INC $300,6374.03K
NFTY FIRST TR EXCH TRD… $291,0055.65K
FTLF FITLIFE BRANDS INC $283,71519.98K
KHPI MANAGED PORTFOLIO… $257,54610.64K
CRC CALIFORNIA RES CORP $247,8173.58K
ADMA ADMA BIOLOGICS INC $242,65126.93K
APGE APOGEE THERAPEUTICS… $236,8552.81K
LGLV SPDR SERIES TRUST $231,3531.30K
CMP COMPASS MINERALS INTL… $225,9349.68K
FLTB FIDELITY MERRIMACK… $225,4624.49K
IGE ISHARES TR $224,0043.56K
DBO INVESCO DB… $221,13011.24K
PVI INVESCO EXCH TRADED… $215,6238.67K
WMG WARNER MUSIC GROUP… $213,7978.37K
PPTA PERPETUA RESOURCES… $211,5757.52K
AMSF AMERISAFE INC $210,2476.31K
FVAL FIDELITY COVINGTON… $210,0053.03K
MPB MID PENN BANCORP INC $208,7186.49K
EPRF INNOVATOR ETFS TRUST $208,28812.55K
APPN APPIAN CORP $206,6248.57K
FXY INVESCO CURRENCYSHARES $203,9103.52K
IBND SPDR SERIES TRUST $202,7656.52K
LQDH ISHARES U S ETF TR $202,6862.19K
VIOV VANGUARD ADMIRAL FDS… $201,6491.98K
ALMU AELUMA INC $198,96815.20K
JANX JANUX THERAPEUTICS INC $197,00814.17K
FOLD AMICUS THERAPEUTIC $194,61813.46K
PBI PITNEY BOWES INC $178,51316.16K
BHV BLACKROCK VA MUN BD TR $174,43116.84K
NQP NUVEEN PA INVT… $168,39214.12K
FRST PRIMIS FINANCIAL CORP $168,35112.68K
TALK TALKSPACE INC $159,64430.85K
NEXT NEXTDECADE CORP $143,46518.73K
PAYO PAYONEER GLOBAL INC $120,29724.91K
GNL GLOBAL NET LEASE INC $111,29311.89K
UDMY UDEMY INC $109,59123.72K
LNKB LINKBANCORP INC $83,40010.00K
BBAI BIGBEAR AI HLDGS INC $81,63223.19K
BCHHF BITFARMS LTD $61,12231.34K
NNOX NANO X IMAGING LTD $56,30624.80K
GOGO GOGO INC $55,49213.80K
MRVI MARAVAI LIFESCIENCES… $39,69614.03K
HYPD HYPERION DEFI INC $35,86310.39K
VOC VOC ENERGY TR $35,63810.30K
RSSS RESEARCH SOLUTIONS INC $24,86011.00K
GERN GERON CORP $22,10514.84K
OPK OPKO HEALTH INC $17,72515.55K
DVLT DATAVAULT AI INC $14,84124.00K
GRWG GROWGENERATION CORP $11,06810.06K
BYND BEYOND MEAT INC $10,08614.38K

Positions redimensionnées

TitreQ1 2026 actionsQ2 2026 actionsVariation
BKNG BOOKING HOLDINGS INC 7.41K 239.22K +3127.1%
NOK NOKIA CORP 21.46K 479.08K +2131.9%
RACE FERRARI N V 17.34K 244.06K +1307.7%
KLAC KLA CORP 47.68K 476.00K +898.3%
IBTQ ISHARES TR 119.59K 1.02M +756.1%
EQPT EQUIPMENTSHARE COM INC 12.50K 103.84K +730.7%
VGT VANGUARD WORLD FD 409.70K 3.25M +692.7%
WAGN PROFESIONALLY MANAGED… 44.77K 337.14K +653.1%
ATR APTARGROUP INC 10.87K 75.47K +594.3%
SHC SOTERA HEALTH CO 41.17K 277.34K +573.6%
TE T1 ENERGY INC 10.96K 73.76K +572.8%
AMR ALPHA METALLURGICAL… 1.38K 9.21K +569.3%
SABR SABRE CORP 34.86K 230.50K +561.2%
VOOG VANGUARD ADMIRAL FDS INC 22.43K 145.23K +547.6%
IYK ISHARES TR 17.68K 113.67K +542.8%
ARWR ARROWHEAD… 11.70K 73.29K +526.7%
PPLT ABRDN PLATINUM ETF TRUST 44.71K 273.10K +510.8%
VUG VANGUARD INDEX FDS 738.59K 4.51M +510.2%
FTXR FIRST TR EXCHANGE… 6.98K 42.43K +508.1%
AMKR AMKOR TECHNOLOGY INC 6.13K 36.92K +502.3%
MANU MANCHESTER UTD PLC NEW 13.68K 79.60K +482.1%
IPWR IDEAL PWR INC 81.45K 468.91K +475.7%
SPMD SPDR SERIES TRUST 84.91K 479.98K +465.3%
ORA ORMAT TECHNOLOGIES INC 2.49K 14.05K +463.7%
IVOL KRANESHARES TRUST 15.78K 88.88K +463.4%
IYT ISHARES TR 27.84K 153.67K +452.1%
QQQY TIDAL TRUST II 13.58K 73.30K +439.9%
ISHG ISHARES TR 5.30K 28.42K +436.4%
XOVR ENTREPRENEURSHARES… 52.46K 278.95K +431.7%
MLPI NEOS ETF TRUST 7.64K 40.34K +428.0%
TDOC TELADOC HEALTH INC 42.93K 226.39K +427.3%
OGS ONE GAS INC 7.80K 41.09K +426.8%
AIR AAR CORP 5.35K 28.12K +425.9%
MGK VANGUARD WORLD FD 192.27K 998.15K +419.1%
CPAY CORPAY INC 4.31K 22.05K +412.1%
HDV ISHARES TR 165.12K 842.99K +410.5%
PI IMPINJ INC 3.52K 17.85K +407.9%
VPL VANGUARD INTL EQUITY… 59.19K 300.58K +407.9%
WWW WOLVERINE WORLD WIDE INC 12.11K 58.52K +383.3%
PAPI MORGAN STANLEY ETF TRUST 14.11K 66.53K +371.6%
IYZ ISHARES TR 33.14K 147.56K +345.3%
U UNITY SOFTWARE INC 16.13K 70.33K +336.0%
CVNA CARVANA CO 4.95K 21.41K +332.8%
AIZ ASSURANT INC 1.30K 5.53K +324.4%
HHH HOWARD HUGHES HOLDINGS… 4.46K 18.90K +324.2%
UFOX ETF SER SOLUTIONS 13.46K 56.61K +320.5%
FLNC FLUENCE ENERGY INC 19.44K 80.70K +315.1%
KGC KINROSS GOLD CORP 30.55K 125.56K +310.9%
FNDC SCHWAB STRATEGIC TR 6.48K 26.35K +306.8%
MTH MERITAGE HOMES CORP 3.51K 14.25K +305.5%
VO VANGUARD INDEX FDS 725.60K 2.92M +302.9%
FELE FRANKLIN ELEC INC 3.58K 13.96K +289.6%
DINO HF SINCLAIR CORP 27.42K 105.01K +282.9%
IWF ISHARES TR 1.26M 4.63M +268.8%
ALLY ALLY FINL INC 31.63K 111.68K +253.1%
DTH WISDOMTREE TR 5.90K 20.70K +251.0%
WFRD WEATHERFORD INTL PLC 2.88K 10.10K +250.6%
VTR VENTAS INC 51.40K 179.34K +248.9%
SPXC SPX TECHNOLOGIES INC 2.29K 7.98K +248.1%
XLB SELECT SECTOR SPDR TR 212.34K 738.91K +248.0%
EIPI FIRST TR EXCHNG TRADED… 127.91K 444.16K +247.3%
CNEQ THE ALGER ETF TRUST 40.13K 137.33K +242.2%
ARKX ARK ETF TR 8.83K 29.59K +235.1%
TRMK TRUSTMARK CORP 8.64K 28.17K +226.2%
ECHO ECHOSTAR CORP 8.35K 27.21K +226.0%
BOXX EA SERIES TRUST 16.41K 52.60K +220.7%
NTSK NETSKOPE INC 16.44K 50.91K +209.7%
DAKT DAKTRONICS INC 13.31K 39.97K +200.3%
FULT FULTON FINL CORP PA 90.26K 266.32K +195.1%
FCPT FOUR CORNERS PPTY TR INC 11.14K 32.81K +194.4%
USFD US FOODS HLDG CORP 14.49K 42.32K +192.0%
FCFS FIRSTCASH HOLDINGS INC 4.05K 11.80K +190.9%
CGIB CAPITAL GRP FIXED INCM… 37.28K 107.86K +189.3%
MOH MOLINA HEALTHCARE INC 4.14K 11.94K +188.6%
MT ARCELORMITTAL SA… 5.50K 15.59K +183.3%
AVY AVERY DENNISON CORP 18.78K 53.00K +182.3%
CPAI NORTHERN LTS FD TR III 30.97K 87.29K +181.8%
CBT CABOT CORP 5.22K 14.68K +181.4%
VNLA JANUS DETROIT STR TR 105.94K 293.83K +177.4%
FRI FIRST TR… 12.08K 33.22K +175.0%
AIN ALBANY INTL CORP 4.22K 11.59K +174.6%
ACI ALBERTSONS COMPANIES INC 18.33K 49.99K +172.7%
FRDM EA SERIES TRUST 11.48K 31.25K +172.2%
HECA ETF OPPORTUNITIES TRUST 97.36K 262.46K +169.6%
CHWY CHEWY INC 64.18K 172.13K +168.2%
AVDE AMERICAN CENTY ETF TR 49.20K 131.05K +166.4%
MRP MILLROSE PPTYS INC 20.24K 53.86K +166.0%
BYRN BYRNA TECHNOLOGIES INC 15.10K 40.01K +164.9%
FYLD CAMBRIA ETF TR 16.48K 43.20K +162.2%
JD JD.COM INC 27.66K 71.58K +158.8%
FMDE FIDELITY COVINGTON TRUST 79.07K 203.47K +157.3%
XRP BITWISE XRP ETF 12.46K 31.97K +156.7%
ENS ENERSYS 5.87K 14.96K +154.8%
JSCP J P MORGAN EXCHANGE… 25.82K 65.62K +154.2%
DIVB ISHARES TR 4.02K 10.19K +153.7%
TNDM TANDEM DIABETES CARE INC 26.94K 68.19K +153.1%
KGS KODIAK GAS SVCS INC 25.71K 64.70K +151.6%
DBMF LITMAN GREGORY FDS TR 39.61K 98.51K +148.7%
BATRA ATLANTA BRAVES HLDGS INC 15.59K 38.75K +148.6%
TMCI TREACE MED CONCEPTS INC 176.09K 435.01K +147.0%
CDP COPT DEFENSE PROPERTIES 8.97K 22.05K +145.6%
SNDK SANDISK CORP 5.81K 14.21K +144.6%
POWL POWELL INDS INC 1.66K 4.02K +141.9%
RONB BARON ETF TR 51.06K 123.28K +141.4%
BKSY BLACKSKY TECHNOLOGY INC 12.94K 31.15K +140.8%
TSME THRIVENT ETF TRUST 96.88K 228.19K +135.6%
TMSL T ROWE PRICE… 25.78K 60.09K +133.1%
LXFR LUXFER HLDGS PLC 18.94K 43.70K +130.7%
JOBY JOBY AVIATION INC 68.63K 157.90K +130.1%
TTGT TECHTARGET INC 12.39K 28.47K +129.8%
PTF INVESCO EXCHANGE TRADED… 12.13K 27.52K +127.0%
SW SMURFIT WESTROCK PLC 95.55K 216.52K +126.6%
PL PLANET LABS PBC 16.32K 36.67K +124.8%
TLTW ISHARES TR 55.44K 123.00K +121.9%
BEPC BROOKFIELD RENEWABLE… 92.14K 203.79K +121.2%
DJIA GLOBAL X FDS 22.79K 50.29K +120.7%
BXP BXP INC 35.45K 77.34K +118.2%
KLAR KLARNA GROUP PLC 77.38K 168.41K +117.6%
IDEQ LAZARD ACTIVE ETF TR 19.26K 41.80K +117.1%
GATX GATX CORP 5.73K 12.35K +115.5%

Comparaison brute du nombre d'actions entre les deux trimestres sélectionnés (tel que déclaré ; les divisions intervenues entre trimestres éloignés ne sont pas ajustées ici — les onglets de variation trimestrielle sur la page du gestionnaire sont ajustés pour les divisions). Positions en actions ordinaires avec tickers mappés uniquement.

Provenance: Les deux instantanés proviennent des tableaux d'information 13F analysés du gérant (dernières versions acceptées). ← Retour à la fiche du gérant