S&P 500 stock index
S&P 500 stocks with filing-backed ownership
Browse 474 S&P 500 constituents with current reported positions from tracked managers.
Tracked S&P 500 constituents
This list includes S&P 500 constituents that have current visible holdings from tracked managers. It is refreshed from the maintained membership manifest and deduplicated with the top-stock universe.
- NVDA — NVIDIA CORPORATION29 holders · $33.8B
- AAPL — APPLE INC30 holders · $86.4B
- GOOGL — ALPHABET INC53 holders · $58.4B
- GOOG — ALPHABET INC42 holders · $41.1B
- MSFT — MICROSOFT CORP49 holders · $30.0B
- AMZN — AMAZON COM INC47 holders · $39.3B
- AVGO — BROADCOM INC24 holders · $10.2B
- META — META PLATFORMS INC45 holders · $26.0B
- TSLA — TESLA INC18 holders · $11.1B
- MU — MICRON TECHNOLOGY INC17 holders · $39.3B
- BRK-B — BERKSHIRE HATHAWAY INC DEL30 holders · $19.3B
- LLY — ELI LILLY & CO19 holders · $16.0B
- JPM — JPMORGAN CHASE & CO.24 holders · $6.4B
- WMT — WALMART INC15 holders · $2.9B
- AMD — ADVANCED MICRO DEVICES INC18 holders · $9.3B
- V — VISA INC37 holders · $24.3B
- XOM — EXXON MOBIL CORP16 holders · $2.5B
- JNJ — JOHNSON & JOHNSON19 holders · $2.3B
- INTC — INTEL CORP17 holders · $18.0B
- MA — MASTERCARD INC26 holders · $9.4B
- ABBV — ABBVIE INC13 holders · $2.4B
- CSCO — CISCO SYS INC16 holders · $2.2B
- BAC — BANK AMER CORP21 holders · $29.8B
- CVX — CHEVRON CORP NEW16 holders · $17.2B
- ORCL — ORACLE CORP23 holders · $6.0B
- PLTR — PALANTIR TECHNOLOGIES INC9 holders · $2.9B
- COST — COSTCO WHSL CORP NEW11 holders · $3.8B
- KO — COCA COLA CO17 holders · $33.9B
- CAT — CATERPILLAR INC13 holders · $9.4B
- LRCX — LAM RESEARCH CORP18 holders · $9.4B
- AMAT — APPLIED MATLS INC21 holders · $8.8B
- DELL — DELL TECHNOLOGIES INC11 holders · $1.8B
- MRK — MERCK & CO INC16 holders · $1.9B
- UNH — UNITEDHEALTH GROUP INC28 holders · $10.2B
- PG — PROCTER AND GAMBLE CO14 holders · $2.2B
- MS — MORGAN STANLEY15 holders · $1.9B
- GE — GE AEROSPACE18 holders · $22.0B
- NFLX — NETFLIX INC18 holders · $2.9B
- HD — HOME DEPOT INC16 holders · $4.7B
- GS — GOLDMAN SACHS GROUP INC13 holders · $2.4B
- WFC — WELLS FARGO CO NEW21 holders · $8.1B
- PANW — PALO ALTO NETWORKS INC8 holders · $1.5B
- RTX — RTX CORPORATION16 holders · $9.3B
- GEV — GE VERNOVA INC17 holders · $7.0B
- ANET — ARISTA NETWORKS INC9 holders · $1.9B
- TXN — TEXAS INSTRS INC21 holders · $6.6B
- SNDK — SANDISK CORP14 holders · $10.8B
- C — CITIGROUP INC16 holders · $4.9B
- IBM — INTERNATIONAL BUSINESS MACHS11 holders · $1.2B
- TMO — THERMO FISHER SCIENTIFIC INC21 holders · $5.2B
- KLAC — KLA CORP12 holders · $8.2B
- AXP — AMERICAN EXPRESS CO21 holders · $53.7B
- LIN — LINDE PLC16 holders · $3.0B
- MRVL — MARVELL TECHNOLOGY INC10 holders · $2.2B
- CRWD — CROWDSTRIKE HLDGS INC11 holders · $2.7B
- APH — AMPHENOL CORP NEW13 holders · $2.3B
- AMGN — AMGEN INC12 holders · $3.8B
- CRM — SALESFORCE INC18 holders · $3.4B
- TMUS — T-MOBILE US INC10 holders · $3.3B
- QCOM — QUALCOMM INC15 holders · $2.0B
- STX — SEAGATE TECHNOLOGY HLDNGS PL13 holders · $6.4B
- PEP — PEPSICO INC18 holders · $2.0B
- SCHW — SCHWAB CHARLES CORP18 holders · $13.9B
- DIS — DISNEY WALT CO26 holders · $4.1B
- ADI — ANALOG DEVICES INC18 holders · $3.2B
- DE — DEERE & CO15 holders · $4.0B
- MCD — MCDONALDS CORP15 holders · $1.6B
- T — AT&T INC10 holders · $1.2B
- GILD — GILEAD SCIENCES INC11 holders · $4.4B
- ABT — ABBOTT LABS17 holders · $2.7B
- BLK — BLACKROCK INC12 holders · $3.7B
- NEE — NEXTERA ENERGY INC9 holders · $236.8M
- WELL — WELLTOWER INC6 holders · $664.0M
- UNP — UNION PAC CORP17 holders · $1.8B
- BA — BOEING CO14 holders · $2.1B
- ETN — EATON CORP PLC7 holders · $2.4B
- COP — CONOCOPHILLIPS15 holders · $5.1B
- WDC — WESTERN DIGITAL CORP11 holders · $4.8B
- PFE — PFIZER INC18 holders · $1.2B
- IBKR — INTERACTIVE BROKERS GROUP IN14 holders · $2.1B
- BX — BLACKSTONE INC10 holders · $852.1M
- UBER — UBER TECHNOLOGIES INC19 holders · $4.4B
- GLW — CORNING INC12 holders · $2.9B
- DHR — DANAHER CORPORATION21 holders · $4.4B
- TJX — TJX COS INC NEW11 holders · $4.4B
- NOW — SERVICENOW INC13 holders · $2.1B
- NEM — NEWMONT CORP11 holders · $3.8B
- ISRG — INTUITIVE SURGICAL INC11 holders · $2.2B
- PLD — PROLOGIS INC.7 holders · $526.2M
- BKNG — BOOKING HOLDINGS INC11 holders · $8.2B
- VRTX — VERTEX PHARMACEUTICALS INC9 holders · $1.1B
- CB — CHUBB LIMITED14 holders · $13.8B
- BMY — BRISTOL-MYERS SQUIBB CO15 holders · $4.8B
- COF — CAPITAL ONE FINL CORP24 holders · $10.7B
- PGR — PROGRESSIVE CORP15 holders · $1.9B
- SPGI — S&P GLOBAL INC23 holders · $10.3B
- CVS — CVS HEALTH CORP19 holders · $10.5B
- LMT — LOCKHEED MARTIN CORP15 holders · $2.4B
- PH — PARKER-HANNIFIN CORP7 holders · $1.3B
- MDT — MEDTRONIC PLC15 holders · $4.8B
- MO — ALTRIA GROUP INC13 holders · $1.0B
- FTNT — FORTINET INC7 holders · $3.5B
- SBUX — STARBUCKS CORP10 holders · $685.1M
- ACN — ACCENTURE PLC IRELAND18 holders · $2.2B
- VLO — VALERO ENERGY CORP10 holders · $1.2B
- APP — APPLOVIN CORP13 holders · $2.5B
- MPC — MARATHON PETE CORP10 holders · $874.3M
- LOW — LOWES COS INC8 holders · $610.4M
- ADP — AUTOMATIC DATA PROCESSING IN12 holders · $3.7B
- SYK — STRYKER CORPORATION12 holders · $1.7B
- PSX — PHILLIPS 6612 holders · $4.5B
- MCK — MCKESSON CORP9 holders · $1.8B
- EQIX — EQUINIX INC11 holders · $3.1B
- FCX — FREEPORT-MCMORAN INC10 holders · $2.5B
- ABNB — AIRBNB INC12 holders · $3.3B
- HOOD — ROBINHOOD MKTS INC10 holders · $1.1B
- CEG — CONSTELLATION ENERGY CORP10 holders · $1.4B
- SO — SOUTHERN CO6 holders · $254.7M
- ADBE — ADOBE INC19 holders · $3.2B
- CME — CME GROUP INC14 holders · $2.6B
- VRT — VERTIV HOLDINGS CO10 holders · $1.6B
- USB — US BANCORP DEL13 holders · $3.2B
- PWR — QUANTA SVCS INC7 holders · $778.3M
- PNC — PNC FINL SVCS GROUP INC12 holders · $1.6B
- TT — TRANE TECHNOLOGIES PLC8 holders · $1.1B
- GD — GENERAL DYNAMICS CORP12 holders · $2.0B
- KKR — KKR & CO INC12 holders · $2.7B
- DUK — DUKE ENERGY CORP NEW8 holders · $548.3M
- HCA — HCA HEALTHCARE INC12 holders · $3.3B
- HWM — HOWMET AEROSPACE INC8 holders · $1.6B
- ELV — ELEVANCE HEALTH INC FORMERLY19 holders · $6.0B
- CSX — CSX CORP11 holders · $921.5M
- INTU — INTUIT16 holders · $3.7B
- CMCSA — COMCAST CORP NEW20 holders · $5.5B
- WMB — WILLIAMS COS INC10 holders · $511.2M
- JCI — JOHNSON CTLS INTL PLC9 holders · $10.0B
- ICE — INTERCONTINENTAL EXCHANGE IN12 holders · $2.9B
- DASH — DOORDASH INC14 holders · $1.4B
- MAR — MARRIOTT INTL INC NEW12 holders · $1.4B
- WM — WASTE MGMT INC DEL11 holders · $6.9B
- UPS — UNITED PARCEL SERVICE INC13 holders · $888.8M
- MMM — 3M CO11 holders · $1.7B
- EMR — EMERSON ELEC CO9 holders · $226.4M
- MRSH — MARSH & MCLENNAN COS INC12 holders · $1.3B
- SLB — SCHLUMBERGER LTD14 holders · $3.1B
- LITE — LUMENTUM HLDGS INC9 holders · $1.5B
- AMT — AMERICAN TOWER CORP NEW9 holders · $1.2B
- HPE — HEWLETT PACKARD ENTERPRISE C13 holders · $3.9B
- MCO — MOODYS CORP21 holders · $20.6B
- REGN — REGENERON PHARMACEUTICALS11 holders · $4.6B
- MDLZ — MONDELEZ INTL INC9 holders · $1.0B
- CDNS — CADENCE DESIGN SYSTEM INC8 holders · $786.9M
- DDOG — DATADOG INC8 holders · $1.2B
- SHW — SHERWIN WILLIAMS CO13 holders · $3.3B
- TRV — TRAVELERS COMPANIES INC11 holders · $1.1B
- SPG — SIMON PPTY GROUP INC NEW6 holders · $276.8M
- GM — GENERAL MTRS CO13 holders · $4.1B
- ECL — ECOLAB INC9 holders · $2.2B
- EOG — EOG RES INC10 holders · $1.3B
- MSI — MOTOROLA SOLUTIONS INC13 holders · $951.6M
- CVNA — CARVANA CO16 holders · $4.8B
- CMI — CUMMINS INC10 holders · $2.2B
- ITW — ILLINOIS TOOL WKS INC9 holders · $1.4B
- APO — APOLLO GLOBAL MGMT INC9 holders · $717.2M
- SNPS — SYNOPSYS INC16 holders · $1.8B
- CI — THE CIGNA GROUP14 holders · $5.6B
- ROST — ROSS STORES INC10 holders · $3.8B
- FDX — FEDEX CORP15 holders · $7.8B
- NOC — NORTHROP GRUMMAN CORP10 holders · $1.2B
- NSC — NORFOLK SOUTHN CORP10 holders · $4.5B
- WBD — WARNER BROS DISCOVERY INC10 holders · $4.6B
- RCL — ROYAL CARIBBEAN GROUP8 holders · $890.7M
- ORLY — OREILLY AUTOMOTIVE INC11 holders · $1.7B
- CL — COLGATE PALMOLIVE CO12 holders · $2.7B
- HLT — HILTON WORLDWIDE HLDGS INC8 holders · $1.1B
- KMI — KINDER MORGAN INC DEL8 holders · $789.4M
- RSG — REPUBLIC SVCS INC6 holders · $1.3B
- AEP — AMERICAN ELEC PWR CO INC11 holders · $2.3B
- BSX — BOSTON SCIENTIFIC CORP14 holders · $5.3B
- APD — AIR PRODS & CHEMS INC12 holders · $4.7B
- PCAR — PACCAR INC7 holders · $598.3M
- AON — AON PLC17 holders · $4.4B
- HON — Honeywell International Inc10 holders · $415.4M
- TRGP — TARGA RES CORP6 holders · $748.2M
- MET — METLIFE INC9 holders · $5.6B
- AJG — GALLAGHER ARTHUR J & CO10 holders · $4.1B
- TFC — TRUIST FINL CORP10 holders · $341.4M
- URI — UNITED RENTALS INC12 holders · $346.7M
- OXY — OCCIDENTAL PETE CORP9 holders · $18.1B
- TEL — TE CONNECTIVITY PLC14 holders · $5.4B
- OKE — ONEOK INC NEW5 holders · $2.1B
- MPWR — MONOLITHIC PWR SYS INC9 holders · $675.7M
- AZO — AUTOZONE INC8 holders · $544.8M
- GWW — GRAINGER W W INC8 holders · $679.1M
- COHR — COHERENT CORP10 holders · $1.5B
- NXPI — NXP SEMICONDUCTORS N V10 holders · $932.9M
- FIX — COMFORT SYS USA INC10 holders · $2.7B
- TER — TERADYNE INC11 holders · $2.9B
- CRH — CRH PLC13 holders · $1.5B
- NUE — NUCOR CORP10 holders · $873.1M
- BKR — BAKER HUGHES COMPANY10 holders · $2.4B
- AFL — AFLAC INC9 holders · $464.1M
- KEYS — KEYSIGHT TECHNOLOGIES INC12 holders · $1.4B
- MRNA — MODERNA INC6 holders · $591.2M
- FANG — DIAMONDBACK ENERGY INC7 holders · $785.0M
- D — DOMINION ENERGY INC6 holders · $1.7B
- FAST — FASTENAL CO8 holders · $575.2M
- O — REALTY INCOME CORP6 holders · $215.9M
- CTVA — CORTEVA INC8 holders · $495.7M
- F — FORD MTR CO7 holders · $356.2M
- AME — AMETEK INC11 holders · $1.4B
- PSA — PUBLIC STORAGE OPER CO6 holders · $91.8M
- DVN — DEVON ENERGY CORP NEW12 holders · $3.0B
- NKE — NIKE INC13 holders · $543.2M
- CAH — CARDINAL HEALTH INC12 holders · $820.7M
- GRMN — GARMIN LTD7 holders · $387.5M
- SRE — SEMPRA6 holders · $610.2M
- STT — STATE STR CORP11 holders · $907.6M
- EA — ELECTRONIC ARTS INC8 holders · $2.5B
- DAL — DELTA AIR LINES INC DEL14 holders · $8.4B
- NDAQ — NASDAQ INC6 holders · $781.7M
- ETR — ENTERGY CORP NEW7 holders · $726.7M
- HONA — Honeywell Aerospace Inc10 holders · $560.7M
- VST — VISTRA CORP10 holders · $741.9M
- FITB — FIFTH THIRD BANCORP7 holders · $323.7M
- CIEN — CIENA CORP10 holders · $1.1B
- HUM — HUMANA INC12 holders · $8.2B
- EW — EDWARDS LIFESCIENCES CORP9 holders · $1.3B
- BDX — BECTON DICKINSON & CO10 holders · $5.5B
- EBAY — EBAY INC.10 holders · $798.6M
- WAB — WABTEC9 holders · $514.5M
- ROK — ROCKWELL AUTOMATION INC8 holders · $503.1M
- XYZ — BLOCK INC12 holders · $1.5B
- CARR — CARRIER GLOBAL CORPORATION9 holders · $3.3B
- XEL — XCEL ENERGY INC10 holders · $374.1M
- COIN — COINBASE GLOBAL INC8 holders · $580.3M
- PYPL — PAYPAL HLDGS INC16 holders · $1.4B
- CMG — CHIPOTLE MEXICAN GRILL INC7 holders · $1.5B
- LHX — L3HARRIS TECHNOLOGIES INC11 holders · $1.4B
- WDAY — WORKDAY INC9 holders · $3.9B
- ADSK — AUTODESK INC10 holders · $607.8M
- ARES — ARES MANAGEMENT CORPORATION7 holders · $339.8M
- IQV — IQVIA HLDGS INC10 holders · $760.4M
- FLEX — FLEX LTD11 holders · $4.6B
- KDP — KEURIG DR PEPPER INC7 holders · $766.1M
- VEEV — VEEVA SYS INC12 holders · $1.1B
- ADM — ARCHER DANIELS MIDLAND CO9 holders · $1.4B
- PAYX — PAYCHEX INC7 holders · $535.8M
- PRU — PRUDENTIAL FINL INC7 holders · $344.4M
- CBRE — CBRE GROUP INC12 holders · $1.7B
- MSCI — MSCI INC13 holders · $2.4B
- MCHP — MICROCHIP TECHNOLOGY INC.12 holders · $1.3B
- TTWO — TAKE-TWO INTERACTIVE SOFTWAR10 holders · $2.1B
- WAT — WATERS CORP13 holders · $3.4B
- SYY — SYSCO CORP11 holders · $1.8B
- IDXX — IDEXX LABS INC11 holders · $1.1B
- LYV — LIVE NATION ENTERTAINMENT IN14 holders · $994.7M
- AIG — AMERICAN INTL GROUP INC9 holders · $611.9M
- ED — CONSOLIDATED EDISON INC7 holders · $903.6M
- NTAP — NETAPP INC10 holders · $2.0B
- AXON — AXON ENTERPRISE INC5 holders · $166.0M
- DHI — D R HORTON INC11 holders · $1.3B
- YUM — YUM BRANDS INC10 holders · $580.6M
- ROP — ROPER TECHNOLOGIES INC8 holders · $3.3B
- ODFL — OLD DOMINION FREIGHT LINE IN7 holders · $659.2M
- HIG — HARTFORD INSURANCE GROUP INC8 holders · $706.0M
- MLM — MARTIN MARIETTA MATLS INC8 holders · $919.4M
- PEG — PUBLIC SVC ENTERPRISE GRP IN8 holders · $762.1M
- TKO — TKO GROUP HOLDINGS INC6 holders · $568.7M
- UAL — UNITED AIRLS HLDGS INC15 holders · $4.1B
- EL — LAUDER ESTEE COS INC11 holders · $990.6M
- KR — KROGER CO9 holders · $2.6B
- HSY — HERSHEY CO10 holders · $166.5M
- MTB — M & T BK CORP10 holders · $192.6M
- NTRS — NORTHERN TR CORP11 holders · $1.9B
- EME — EMCOR GROUP INC10 holders · $1.2B
- STLD — STEEL DYNAMICS INC6 holders · $364.7M
- WEC — WEC ENERGY GROUP INC9 holders · $478.7M
- IRM — IRON MTN INC DEL6 holders · $352.9M
- KVUE — KENVUE INC13 holders · $2.0B
- HBAN — HUNTINGTON BANCSHARES INC8 holders · $488.9M
- EQT — EQT CORP10 holders · $1.4B
- EXPE — EXPEDIA GROUP INC10 holders · $1.0B
- JBL — JABIL INC10 holders · $1.8B
- RJF — RAYMOND JAMES FINL INC9 holders · $1.7B
- CNC — CENTENE CORP DEL10 holders · $3.0B
- ACGL — ARCH CAP GROUP LTD6 holders · $291.8M
- VMC — VULCAN MATLS CO12 holders · $1.9B
- KMB — KIMBERLY-CLARK CORP7 holders · $1.2B
- BIIB — BIOGEN INC10 holders · $3.9B
- CCL — Carnival Corp Ltd10 holders · $2.5B
- ZTS — ZOETIS INC13 holders · $885.7M
- PCG — PG&E CORP9 holders · $2.3B
- EXR — EXTRA SPACE STORAGE INC6 holders · $1.6B
- HAL — HALLIBURTON CO9 holders · $1.1B
- CFG — CITIZENS FINL GROUP INC9 holders · $1.1B
- ON — ON SEMICONDUCTOR CORP10 holders · $808.7M
- CBOE — CBOE GLOBAL MKTS INC9 holders · $800.7M
- WTW — WILLIS TOWERS WATSON PLC LTD10 holders · $4.8B
- KHC — KRAFT HEINZ CO14 holders · $8.4B
- AEE — AMEREN CORP5 holders · $472.4M
- GEHC — GE HEALTHCARE TECHNOLOGIES I14 holders · $3.0B
- IR — INGERSOLL RAND INC6 holders · $358.1M
- TDY — TELEDYNE TECHNOLOGIES INC10 holders · $1.2B
- LVS — LAS VEGAS SANDS CORP9 holders · $1.0B
- CPRT — COPART INC13 holders · $1.3B
- FOXA — FOX CORP10 holders · $885.8M
- DTE — DTE ENERGY CO7 holders · $546.6M
- ATO — ATMOS ENERGY CORP7 holders · $886.1M
- DG — DOLLAR GEN CORP NEW13 holders · $3.2B
- FISV — FISERV INC16 holders · $4.3B
- VICI — VICI PPTYS INC8 holders · $295.3M
- CTSH — COGNIZANT TECHNOLOGY SOLUTIO12 holders · $2.1B
- CPAY — CORPAY INC6 holders · $970.7M
- FE — FIRSTENERGY CORP7 holders · $277.6M
- WSM — WILLIAMS SONOMA INC6 holders · $427.4M
- VRSN — VERISIGN INC9 holders · $4.2B
- Q — QNITY ELECTRONICS INC12 holders · $1.5B
- SMCI — SUPER MICRO COMPUTER INC7 holders · $811.9M
- OTIS — OTIS WORLDWIDE CORP11 holders · $1.4B
- AVB — AVALONBAY CMNTYS INC8 holders · $523.9M
- CINF — CINCINNATI FINL CORP4 holders · $185.4M
- WRB — BERKLEY W R CORP9 holders · $624.2M
- DGX — QUEST DIAGNOSTICS INC7 holders · $378.4M
- MTD — METTLER TOLEDO INTERNATIONAL8 holders · $295.3M
- ES — EVERSOURCE ENERGY9 holders · $935.8M
- CNP — CENTERPOINT ENERGY INC6 holders · $336.7M
- RF — REGIONS FINANCIAL CORP NEW9 holders · $246.8M
- PPL — PPL CORP8 holders · $1.3B
- DOV — DOVER CORP5 holders · $544.4M
- TPL — TEXAS PACIFIC LAND CORPORATI5 holders · $196.5M
- JBHT — HUNT J B TRANS SVCS INC7 holders · $1.6B
- LH — LABCORP HOLDINGS INC9 holders · $233.4M
- EXPD — EXPEDITORS INTL WASH INC7 holders · $1.1B
- XYL — XYLEM INC7 holders · $470.8M
- SYF — SYNCHRONY FINANCIAL8 holders · $361.6M
- INCY — INCYTE CORP10 holders · $2.7B
- EQR — EQUITY RESIDENTIAL7 holders · $1.4B
- FOX — FOX CORP8 holders · $709.4M
- WST — WEST PHARMACEUTICAL SVSC INC9 holders · $342.8M
- HUBB — HUBBELL INC6 holders · $83.7M
- DRI — DARDEN RESTAURANTS INC5 holders · $246.4M
- TPR — TAPESTRY INC9 holders · $1.3B
- BG — BUNGE GLOBAL SA7 holders · $209.2M
- PPG — PPG INDS INC10 holders · $2.7B
- ULTA — ULTA BEAUTY INC8 holders · $342.8M
- GPN — GLOBAL PMTS INC10 holders · $1.8B
- FFIV — F5 INC10 holders · $660.0M
- KEY — KEYCORP8 holders · $501.5M
- VLTO — VERALTO CORP8 holders · $629.1M
- VRSK — VERISK ANALYTICS INC13 holders · $1.1B
- CASY — CASEYS GEN STORES INC10 holders · $397.9M
- TROW — PRICE T ROWE GROUP INC8 holders · $254.6M
- SW — SMURFIT WESTROCK PLC7 holders · $1.2B
- PHM — PULTE GROUP INC9 holders · $888.4M
- FSLR — FIRST SOLAR INC8 holders · $562.1M
- CHD — CHURCH & DWIGHT CO INC8 holders · $987.8M
- L — LOEWS CORP7 holders · $590.9M
- DLTR — DOLLAR TREE INC10 holders · $1.1B
- BRO — BROWN & BROWN INC10 holders · $1.8B
- EXE — EXPAND ENERGY CORPORATION9 holders · $1.4B
- OMC — OMNICOM GROUP INC10 holders · $1.5B
- FICO — FAIR ISAAC CORP15 holders · $2.1B
- EIX — EDISON INTL7 holders · $1.7B
- IFF — INTERNATIONAL FLAVORS&FRAGRA9 holders · $5.4B
- CMS — CMS ENERGY CORP6 holders · $239.7M
- DOW — DOW INC11 holders · $1.8B
- STZ — CONSTELLATION BRANDS INC11 holders · $653.5M
- PKG — PACKAGING CORP AMER5 holders · $573.3M
- LYB — LYONDELLBASELL INDUSTRIES N8 holders · $1.2B
- STE — STERIS PLC8 holders · $565.0M
- RL — RALPH LAUREN CORP7 holders · $1.1B
- CF — CF INDS HLDGS INC8 holders · $329.2M
- NI — NISOURCE INC6 holders · $410.1M
- EFX — EQUIFAX INC14 holders · $920.4M
- SBAC — SBA COMMUNICATIONS CORP NEW8 holders · $2.6B
- CHTR — CHARTER COMMUNICATIONS INC N11 holders · $4.1B
- AMCR — AMCOR PLC5 holders · $47.4M
- SNA — SNAP ON INC10 holders · $204.8M
- CDW — CDW CORP10 holders · $688.0M
- LUV — SOUTHWEST AIRLS CO11 holders · $4.3B
- FDXF — Fedex Freight Holding Co Inc11 holders · $2.5B
- LEN — LENNAR CORP12 holders · $4.0B
- GIS — GENERAL MLS INC10 holders · $659.4M
- BR — BROADRIDGE FINL SOLUTIONS IN8 holders · $868.5M
- BBY — BEST BUY INC8 holders · $760.1M
- VTRS — VIATRIS INC11 holders · $1.5B
- EVRG — EVERGY INC8 holders · $367.8M
- ESS — ESSEX PPTY TR INC5 holders · $91.1M
- TSN — TYSON FOODS INC13 holders · $2.8B
- GPC — GENUINE PARTS CO10 holders · $456.8M
- IP — INTERNATIONAL PAPER CO4 holders · $493.6M
- GEN — GEN DIGITAL INC6 holders · $95.4M
- CHRW — C H ROBINSON WORLDWIDE INC7 holders · $1.8B
- ZBH — ZIMMER BIOMET HOLDINGS INC14 holders · $2.9B
- NWS — NEWS CORP NEW6 holders · $107.2M
- NDSN — NORDSON CORP6 holders · $212.5M
- LNT — ALLIANT ENERGY CORP6 holders · $359.4M
- TSCO — TRACTOR SUPPLY CO7 holders · $144.9M
- DD — DuPont de Nemours, Inc.8 holders · $319.0M
- BEN — FRANKLIN RESOURCES INC7 holders · $155.0M
- ROL — ROLLINS INC10 holders · $523.7M
- J — JACOBS SOLUTIONS INC10 holders · $854.0M
- ZBRA — ZEBRA TECHNOLOGIES CORPORATI8 holders · $617.8M
- IEX — IDEX CORP9 holders · $1.7B
- FTV — FORTIVE CORP10 holders · $4.3B
- NVR — NVR INC10 holders · $724.4M
- INVH — INVITATION HOMES INC8 holders · $519.5M
- LDOS — LEIDOS HOLDINGS INC8 holders · $275.5M
- WY — WEYERHAEUSER CO MTN BE10 holders · $2.7B
- BALL — BALL CORP8 holders · $567.3M
- NWSA — NEWS CORP NEW8 holders · $905.8M
- APA — APA CORPORATION11 holders · $245.2M
- KIM — KIMCO RLTY CORP6 holders · $119.7M
- HST — HOST HOTELS & RESORTS INC7 holders · $427.4M
- AKAM — AKAMAI TECHNOLOGIES INC7 holders · $725.1M
- SOLV — SOLVENTUM CORP11 holders · $1.4B
- MAA — MID-AMER APT CMNTYS INC5 holders · $1.3B
- DOC — HEALTHPEAK PROPERTIES INC8 holders · $257.3M
- EG — EVEREST GROUP LTD11 holders · $1.2B
- IVZ — INVESCO LTD6 holders · $959.5M
- PTC — PTC INC7 holders · $338.1M
- REG — REGENCY CTRS CORP7 holders · $256.7M
- AIZ — ASSURANT INC6 holders · $203.4M
- TXT — TEXTRON INC8 holders · $662.6M
- ALB — ALBEMARLE CORP8 holders · $936.2M
- TYL — TYLER TECHNOLOGIES INC6 holders · $156.3M
- MAS — MASCO CORP9 holders · $499.5M
- SWK — STANLEY BLACK & DECKER INC6 holders · $219.1M
- TRMB — TRIMBLE INC8 holders · $490.3M
- CRL — CHARLES RIV LABS INTL INC7 holders · $800.4M
- GL — GLOBE LIFE INC9 holders · $640.1M
- ALLE — ALLEGION PLC5 holders · $235.0M
- SJM — SMUCKER J M CO8 holders · $849.0M
- HAS — HASBRO INC8 holders · $761.0M
- UDR — UDR INC4 holders · $131.2M
- AVY — AVERY DENNISON CORP7 holders · $138.2M
- ERIE — ERIE INDTY CO6 holders · $48.4M
- LII — LENNOX INTL INC7 holders · $1.6B
- GDDY — GODADDY INC8 holders · $949.0M
- CSGP — COSTAR GROUP INC10 holders · $957.1M
- BAX — BAXTER INTL INC13 holders · $3.2B
- CPT — CAMDEN PPTY TR9 holders · $979.9M
- PSKY — PARAMOUNT SKYDANCE CORP6 holders · $44.6M
- BXP — BXP INC8 holders · $1.6B
- PNW — PINNACLE WEST CAP CORP8 holders · $447.2M
- IT — GARTNER INC8 holders · $1.1B
- HRL — HORMEL FOODS CORP8 holders · $537.9M
- TECH — BIO-TECHNE CORP13 holders · $814.5M
- JKHY — HENRY JACK & ASSOC INC6 holders · $97.2M
- DECK — DECKERS OUTDOOR CORP9 holders · $769.7M
- GNRC — GENERAC HLDGS INC12 holders · $915.4M
- HII — HUNTINGTON INGALLS INDS INC8 holders · $313.2M
- LULU — LULULEMON ATHLETICA INC10 holders · $336.3M
- CLX — CLOROX CO DEL11 holders · $448.3M
- AES — AES CORP5 holders · $642.7M
- DPZ — DOMINOS PIZZA INC9 holders · $418.8M
- UHS — UNIVERSAL HLTH SVCS INC8 holders · $1.9B
- COO — COOPER COS INC7 holders · $863.6M
- MGM — MGM RESORTS INTERNATIONAL12 holders · $1.5B
- FRT — FEDERAL RLTY INVT TR NEW5 holders · $439.2M
- HSIC — HENRY SCHEIN INC8 holders · $326.1M
- APTV — APTIV PLC10 holders · $397.9M
- FDS — FACTSET RESH SYS INC10 holders · $594.0M
- PODD — INSULET CORP8 holders · $1.1B
- WYNN — WYNN RESORTS LTD6 holders · $325.2M
- PNR — PENTAIR PLC8 holders · $426.6M
- ARE — ALEXANDRIA REAL ESTATE EQ IN6 holders · $455.5M
- MOS — MOSAIC CO NEW8 holders · $557.9M
- AOS — SMITH A O CORP6 holders · $134.5M
- TAP — MOLSON COORS BEVERAGE CO10 holders · $1.4B
- NCLH — NORWEGIAN CRUISE LINE HLDG L10 holders · $1.0B
- TTD — THE TRADE DESK INC8 holders · $753.6M
- BLDR — BUILDERS FIRSTSOURCE INC13 holders · $364.5M