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Langue de l'interface
Engraved classical stock-exchange facade with fluted columns

Les titres

Chaque titre de l'univers suivi, classé selon ses détenteurs — nombre de détenteurs, valeur déclarée et sens de variation.

Les chiffres de détention ne comptabilisent que les gestionnaires 13F suivis et correspondent à la période de déclaration Q2 2026 · les cours, lorsqu'ils sont affichés, sont différés et distincts des données de dépôt

Valeur déclarée Détenteurs Nouvelles positions Croissance du nombre de détenteurs Capitalisation boursière
Tous les secteurs Matières premièresServices de communicationConsommation cycliqueConsommation défensiveÉnergieServices financiersSantéIndustrieImmobilierTechnologieServices aux collectivités
#TitreSecteurDétenteursΔNouveauSortiesValeur déclaréeMomentum
1 NVDA NVIDIA Corporation Technology 201 0 +2 −1 $2.75T Stable
2 AAPL Apple Inc. Technology 197 +2 +6 −3 $2.29T Stable
3 MSFT Microsoft Corporation Technology 207 -1 +4 −4 $1.66T Stable
4 AMZN Amazon.com, Inc. Consumer Cyclical 211 +3 +4 $1.40T Stable
5 GOOGL Alphabet Inc. Communication Services 207 +1 +6 −4 $1.37T Stable
6 AVGO Broadcom Inc. Technology 196 0 +6 −5 $1.15T Stable
7 GOOG Alphabet Inc. Communication Services 200 +1 +5 −3 $969.14B Stable
8 MU Micron Technology, Inc. Technology 195 +8 +10 −1 $831.04B Rising
9 LLY Eli Lilly and Company Healthcare 193 +4 +6 −1 $804.91B Stable
10 META Meta Platforms, Inc. Communication Services 206 -1 +4 −4 $788.10B Stable
11 TSLA Tesla, Inc. Consumer Cyclical 185 -4 +3 −6 $600.45B Stable
12 AMD Advanced Micro Devices… Technology 191 +5 +11 −5 $559.16B Rising
13 JPM JPMorgan Chase & Co. Financial Services 191 +5 +7 −1 $503.33B Stable
14 IVV iShares Core S&P 500 ETF Financial Services 130 +2 +5 −3 $471.53B Rising
15 V Visa Inc. Financial Services 195 -2 +2 −3 $398.77B Stable
16 AMAT Applied Materials, Inc. Technology 191 +8 +11 −2 $384.54B Rising
17 LRCX Lam Research Corporation Technology 187 +2 +7 −4 $376.63B Stable
18 INTC Intel Corp. Technology 194 +12 +16 −3 $376.19B Rising
19 JNJ Johnson & Johnson Healthcare 183 +1 +5 −3 $367.13B Stable
20 BRK-B Berkshire Hathaway Inc. Financial Services 185 0 +3 −2 $360.55B Stable
21 SPY State Street SPDR S&P 500… Financial Services 144 0 +8 −8 $315.49B Rising
22 MA Mastercard Incorporated Financial Services 191 +1 +5 −3 $315.36B Stable
23 XONA.DE Exxon Mobil Corporation Energy 173 -4 +8 −11 $304.21B Falling
24 CSCO Cisco Systems, Inc. Technology 182 +1 +7 −5 $301.43B Stable
25 KLAC KLA Corporation Technology 184 +8 +11 −2 $298.96B Strongly Rising
26 CAT Caterpillar Inc. Industrials 178 -2 +3 −5 $290.81B Stable
27 WMT Walmart Inc. Consumer Defensive 183 +1 +5 −3 $276.70B Stable
28 ABBV AbbVie Inc. Healthcare 183 +6 +9 −2 $270.09B Rising
29 GE GE Aerospace Industrials 183 -3 +3 −5 $266.33B Stable
30 UNH UnitedHealth Group… Healthcare 192 +4 +9 −4 $264.40B Rising
31 TSM Taiwan Semiconductor… Technology 194 +2 +5 −2 $260.86B Stable
32 BAC Bank of America… Financial Services 188 -2 +4 −5 $251.40B Stable
33 MS Morgan Stanley Financial Services 183 -1 +4 −4 $246.90B Stable
34 COST Costco Wholesale… Consumer Defensive 184 +1 +5 −3 $239.97B Stable
35 KO The Coca-Cola Company Consumer Defensive 185 +5 +6 $221.49B Stable
36 HD The Home Depot, Inc. Consumer Cyclical 184 +1 +6 −4 $213.69B Stable
37 MRK Merck & Co., Inc. Healthcare 183 0 +4 −3 $205.60B Stable
38 GEV GE Vernova Inc. Industrials 180 -1 +3 −3 $205.48B Stable
39 PM Philip Morris… Consumer Defensive 176 +4 +8 −4 $205.21B Stable
40 VOO Vanguard S&P 500 ETF Financial Services 120 +6 +8 −2 $202.25B Rising
41 NFLX Netflix, Inc. Communication Services 185 0 +8 −7 $202.00B Stable
42 CVX Chevron Corporation Energy 181 +1 +5 −3 $200.55B Stable
43 PG The Procter & Gamble… Consumer Defensive 182 +1 +4 −2 $192.45B Stable
44 SNDK Sandisk Corporation Technology 173 +8 +12 −3 $192.30B Stable
45 TXN Texas Instruments… Technology 185 +8 +11 −2 $192.21B Rising
46 PANW Palo Alto Networks, Inc. Technology 167 -5 +4 −8 $182.13B Stable
47 GS The Goldman Sachs Group… Financial Services 185 +2 +5 −2 $177.02B Stable
48 RTX RTX Corporation Industrials 178 +2 +7 −4 $171.74B Stable
49 WDC Western Digital… Technology 180 +6 +9 −2 $171.73B Falling
50 MRVL Marvell Technology, Inc. Technology 175 +11 +14 −2 $167.52B Rising
51 AXP American Express Company Financial Services 183 -2 +2 −3 $166.27B Stable
52 LIN Linde plc Basic Materials 179 +5 +9 −3 $165.34B Stable
53 WFC Wells Fargo & Company Financial Services 188 +5 +6 $164.43B Stable
54 APH Amphenol Corporation Technology 177 -1 +5 −5 $161.85B Stable
55 C Citigroup Inc. Financial Services 184 +6 +8 −1 $151.97B Stable
56 ORCL Oracle Corporation Technology 182 -1 +5 −5 $150.84B Stable
57 SPCX Space Exploration… Industrials 163 +162 +163 $147.46B Strongly Rising
58 STX Seagate Technology… Technology 180 +7 +10 −2 $145.24B Stable
59 PLTR Palantir Technologies Inc. Technology 177 +2 +7 −4 $139.20B Rising
60 IBM International Business… Technology 173 +3 +8 −4 $138.34B Stable
61 ADI Analog Devices, Inc. Technology 175 -3 +5 −7 $137.65B Stable
62 AMGN Amgen Inc. Healthcare 171 -1 +5 −5 $133.70B Stable
63 TMO Thermo Fisher Scientific… Healthcare 191 +3 +5 −1 $131.45B Stable
64 GLW Corning Inc Technology 178 -1 +6 −6 $129.87B Stable
65 NEE NextEra Energy, Inc. Utilities 173 -2 +4 −5 $126.83B Stable
66 WELL Welltower Inc. Real Estate 168 +2 +6 −3 $124.66B Stable
67 TJX The TJX Companies, Inc. Consumer Cyclical 179 +1 +3 −1 $120.23B Stable
68 ANET Arista Networks, Inc. Technology 172 -2 +5 −6 $119.93B Stable
69 CRWD CrowdStrike Holdings, Inc. Technology 174 0 +7 −6 $119.41B Rising
70 GILD Gilead Sciences, Inc. Healthcare 175 +1 +5 −3 $119.07B Stable
71 QCOM QUALCOMM Incorporated Technology 182 +3 +10 −6 $118.95B Stable
72 UNP Union Pacific Corporation Industrials 183 -3 +3 −5 $116.34B Stable
73 PEP PepsiCo, Inc. Consumer Defensive 184 -1 +2 −2 $115.67B Stable
74 BA The Boeing Company Industrials 172 +3 +7 −4 $115.63B Stable
75 ASML ASML Holding N.V. Technology 166 -1 +4 −4 $114.82B Stable
76 IEFA iShares Core MSCI EAFE ETF Financial Services 96 +5 +7 −2 $114.16B Rising
77 ETN Eaton Corporation plc Industrials 160 -1 +4 −4 $113.66B Stable
78 AZN AstraZeneca PLC Healthcare 156 +6 +11 −4 $113.17B Rising
79 MCD McDonald's Corporation Consumer Cyclical 182 -1 +4 −4 $113.02B Stable
80 QQQ Invesco QQQ Trust, Series… Financial Services 124 +6 +10 −4 $110.94B Rising
81 BKNG Booking Holdings Inc. Consumer Cyclical 182 +4 +8 −3 $109.77B Strongly Rising
82 SCHW The Charles Schwab… Financial Services 181 +3 +7 −3 $109.60B Stable
83 DE Deere & Company Industrials 179 0 +8 −7 $108.10B Stable
84 RY Royal Bank of Canada Financial Services 128 -4 +5 −8 $107.26B Falling
85 VRTX Vertex Pharmaceuticals… Healthcare 175 -1 +5 −5 $105.17B Stable
86 DIS The Walt Disney Company Communication Services 183 +1 +7 −5 $102.59B Stable
87 IEMG iShares Core MSCI… Financial Services 116 +1 +7 −6 $100.54B Stable
88 ABT Abbott Laboratories Healthcare 182 0 +5 −4 $99.82B Stable
89 ISRG Intuitive Surgical, Inc. Healthcare 181 -1 +4 −4 $99.08B Stable
90 VZ Verizon Communications… Communication Services 178 +3 +6 −2 $98.99B Stable
91 CVS CVS Health Corp. Healthcare 183 +1 +4 −2 $98.99B Stable
92 VEA Vanguard FTSE Developed… Financial Services 95 -8 +1 −9 $98.52B Falling
93 CB Chubb Limited Financial Services 179 +4 +6 −1 $98.04B Stable
94 VUG Vanguard Morningstar… Financial Services 97 +4 +7 −3 $96.33B Strongly Rising
95 APP AppLovin Corporation Technology 174 -1 +4 −4 $95.38B Stable
96 UBER Uber Technologies, Inc. Technology 185 0 +4 −3 $91.12B Stable
97 BLK BlackRock, Inc. Financial Services 178 +6 +7 $90.43B Rising
98 CRM Salesforce, Inc. Technology 182 +2 +7 −4 $90.37B Stable
99 PGR The Progressive… Financial Services 179 0 +7 −6 $90.20B Stable
100 PLD Prologis, Inc. Real Estate 172 0 +5 −4 $90.18B Stable
101 PH Parker-Hannifin… Industrials 175 0 +6 −5 $88.75B Stable
102 COP ConocoPhillips Energy 176 +5 +8 −3 $88.23B Stable
103 SBUX Starbucks Corporation Consumer Cyclical 174 +4 +6 −1 $86.03B Rising
104 VTV Vanguard Morningstar… Financial Services 91 -3 +5 −8 $85.54B Stable
105 AGG iShares Core U.S.… Financial Services 100 +1 +4 −3 $85.27B Stable
106 COF Capital One Financial… Financial Services 187 -1 +3 −3 $84.51B Stable
107 DHR Danaher Corporation Healthcare 190 +7 +10 −2 $83.49B Stable
108 TD The Toronto-Dominion Bank Financial Services 131 -1 +4 −4 $81.18B Falling
109 EEM iShares MSCI Emerging… Financial Services 108 -3 +2 −5 $79.81B Rising
110 DELL Dell Technologies Inc. Technology 175 +5 +9 −3 $79.60B Stable
111 VRT Vertiv Holdings Co Industrials 178 +6 +8 −1 $79.59B Rising
112 TT Trane Technologies plc Industrials 173 -1 +4 −4 $79.41B Stable
113 LOW Lowe's Companies, Inc. Consumer Cyclical 175 +1 +5 −3 $79.06B Stable
114 T AT&T Inc. Communication Services 172 -3 +3 −5 $78.64B Falling
115 SHOP Shopify Inc. Technology 169 +3 +5 −1 $78.35B Stable
116 SPGI S&P Global Inc. Financial Services 185 +2 +8 −5 $77.75B Stable
117 HWM Howmet Aerospace Inc. Industrials 172 +2 +6 −3 $77.39B Stable
118 VTI Vanguard Morningstar… Financial Services 95 +2 +5 −3 $76.76B Falling
119 BMY Bristol-Myers Squibb… Healthcare 174 +1 +6 −4 $76.47B Stable
120 EQIX Equinix, Inc. Real Estate 173 0 +5 −4 $75.23B Stable
121 PFE Pfizer Inc. Healthcare 175 +3 +7 −3 $73.90B Stable
122 CDNS Cadence Design Systems… Technology 171 +1 +8 −6 $72.84B Stable
123 LMT Lockheed Martin… Industrials 164 0 +6 −6 $72.68B Stable
124 IWF iShares Russell 1000… Financial Services 102 +1 +5 −4 $71.26B Strongly Rising
125 SYK Stryker Corporation Healthcare 172 +2 +7 −4 $70.41B Stable
126 PWR Quanta Services, Inc. Industrials 172 +3 +8 −4 $70.30B Stable
127 BNY Bank of New York Mellon… Financial Services 180 +2 +4 −1 $69.79B Stable
128 MDT Medtronic plc Healthcare 175 +1 +6 −4 $69.47B Stable
129 PNC The PNC Financial… Financial Services 173 -4 +3 −6 $67.56B Stable
130 SO The Southern Company Utilities 163 -6 +3 −8 $67.23B Stable
131 IJH iShares Core S&P Mid-Cap… Financial Services 101 +2 +7 −5 $65.56B Rising
132 TMUS T-Mobile US, Inc. Communication Services 169 -2 +5 −6 $65.36B Falling
133 JCI Johnson Controls… Basic Materials 166 -3 +2 −4 $65.20B Falling
134 MO Altria Group, Inc. Consumer Defensive 168 -1 +2 −3 $64.63B Stable
135 CMI Cummins Inc. Industrials 171 +1 +7 −5 $64.37B Stable
136 TTE TotalEnergies SE Energy 136 +3 +9 −5 $64.31B Stable
137 MCK McKesson Corporation Healthcare 172 0 +6 −5 $64.24B Stable
138 NOW ServiceNow, Inc. Technology 175 +1 +8 −6 $64.06B Stable
139 ADP Automatic Data… Technology 166 -7 +2 −8 $63.88B Stable
140 CMCSA Comcast Corporation Communication Services 181 -1 +5 −5 $63.41B Stable
141 BAM Brookfield Asset… Financial Services 128 +2 +9 −6 $63.19B Stable
142 FCX Freeport-McMoRan Inc. Basic Materials 175 +1 +3 −2 $63.11B Stable
143 IWM iShares Russell 2000 ETF Financial Services 123 +3 +9 −6 $62.43B Falling
144 FTNT Fortinet, Inc. Technology 168 +2 +6 −3 $62.12B Stable
145 WMB The Williams Companies… Energy 176 +5 +7 −1 $62.02B Rising
146 ELV Elevance Health Inc. Healthcare 179 +1 +7 −5 $61.93B Stable
147 DDOG Datadog, Inc. Technology 170 +2 +6 −3 $61.92B Rising
148 RCL Royal Caribbean Cruises… Consumer Cyclical 165 +4 +7 −2 $61.55B Stable
149 BND Vanguard Total Bond… Financial Services 87 0 +4 −4 $61.51B Rising
150 GD General Dynamics… Industrials 168 -1 +2 −3 $60.98B Stable
151 MRSH Marsh & McLennan… Financial Services 178 +6 +10 −3 $60.79B Stable
152 SNPS Synopsys, Inc. Technology 183 +6 +8 −1 $60.36B Rising
153 USB U.S. Bancorp Financial Services 171 +3 +7 −3 $60.09B Stable
154 NEM Newmont Corporation Basic Materials 173 +2 +4 −1 $59.18B Stable
155 CSX CSX Corporation Industrials 175 +3 +7 −3 $58.18B Stable
156 SPYM State Street SPDR… Financial Services 88 +4 +7 −3 $58.07B Strongly Rising
157 HLT Hilton Worldwide Holdings… Consumer Cyclical 178 -1 +4 −4 $57.55B Stable
158 WM Waste Management, Inc. Industrials 173 +3 +4 $56.98B Stable
159 NET Cloudflare, Inc. Technology 175 +10 +15 −4 $56.63B Strongly Rising
160 TER Teradyne, Inc. Technology 170 -2 +5 −6 $56.14B Stable
161 MCO Moody's Corporation Financial Services 178 +2 +6 −3 $55.85B Stable
162 EOG EOG Resources, Inc. Energy 165 -2 +2 −4 $55.65B Stable
163 ADBE Adobe Inc. Technology 180 0 +4 −3 $55.63B Stable
164 TDG TransDigm Group… Industrials 167 +3 +7 −3 $55.59B Stable
165 CI Cigna Corporation Healthcare 179 0 +4 −3 $55.09B Stable
166 AEP American Electric Power… Utilities 170 +3 +5 −2 $54.93B Rising
167 DUK Duke Energy Corporation Utilities 163 -2 +4 −6 $54.91B Stable
168 NXPI NXP Semiconductors N.V. Technology 158 +1 +8 −6 $54.91B Stable
169 SHW The Sherwin-Williams… Basic Materials 173 +1 +7 −5 $54.86B Stable
170 CEG Constellation Energy… Utilities 171 -2 +4 −5 $54.84B Stable
171 AMT American Tower Corporation Real Estate 180 0 +3 −2 $54.32B Stable
172 SNOW Snowflake Inc. Technology 171 -1 +9 −9 $54.19B Rising
173 MDLZ Mondelez International… Consumer Defensive 173 +2 +5 −2 $54.05B Stable
174 CIEN Ciena Corporation Technology 168 0 +7 −6 $53.73B Stable
175 CME CME Group Inc. Financial Services 179 +1 +7 −5 $53.69B Stable
176 VO Vanguard Morningstar… Financial Services 83 +2 +3 −1 $53.39B Strongly Rising
177 MPWR Monolithic Power Systems… Technology 166 +5 +8 −2 $52.59B Rising
178 MNST Monster Beverage… Consumer Defensive 170 +1 +8 −6 $52.17B Stable
179 MMM 3M Company Industrials 179 +1 +4 −2 $52.05B Stable
180 ORLY O'Reilly Automotive, Inc. Consumer Cyclical 170 +5 +6 $51.93B Stable
181 EMR Emerson Electric Co. Industrials 166 +3 +7 −3 $51.88B Stable
182 VWO Vanguard FTSE Emerging… Financial Services 103 -2 +5 −7 $51.74B Stable
183 UBS UBS Group AG Financial Services 126 -1 +7 −7 $51.73B Stable
184 URI United Rentals, Inc. Industrials 169 -4 +2 −5 $51.73B Falling
185 IJR iShares Core S&P… Financial Services 96 0 +5 −5 $51.66B Stable
186 LITE Lumentum Holdings Inc. Technology 174 +4 +12 −7 $51.35B Stable
187 SPG Simon Property Group, Inc. Real Estate 164 -1 +5 −5 $51.32B Stable
188 ROST Ross Stores, Inc. Consumer Cyclical 175 +3 +6 −2 $51.32B Stable
189 BX Blackstone Inc. Financial Services 172 -2 +4 −5 $50.82B Stable
190 NOC Northrop Grumman… Industrials 167 0 +5 −5 $50.61B Stable
191 AON Aon plc Financial Services 164 -3 +5 −7 $50.56B Stable
192 CNQ Canadian Natural… Energy 131 +1 +6 −5 $50.50B Falling
193 BMO Bank of Montreal Financial Services 117 -2 +4 −5 $50.42B Stable
194 IWD iShares Russell 1000… Financial Services 98 +7 +8 −1 $50.29B Rising
195 VLO Valero Energy Corporation Energy 173 +3 +5 −1 $50.20B Stable
196 INTU Intuit Inc. Technology 176 +4 +8 −3 $49.83B Stable
197 TRV The Travelers Companies… Financial Services 166 +5 +9 −3 $49.73B Rising
198 FIX Comfort Systems USA, Inc. Industrials 179 +6 +9 −2 $49.66B Rising
199 SLB Slb N.V. Energy 179 +3 +7 −3 $49.46B Stable
200 ECL Ecolab Inc. Basic Materials 168 -3 +5 −7 $49.45B Stable

Δ = variation du nombre de détenteurs suivis par rapport au trimestre comparable précédent. Pour des filtres plus avancés, utilisez le outil de filtrage.

Provenance: Agrégé à partir des positions en actions ordinaires des 13F analysés de l'univers suivi ; ensembles de gérants comparables pour tous les changements. Méthodologie