Stock index
Stocks in the smart-money conversation
Browse 9,533 stocks ranked by current tracked manager ownership, reported capital, and filing activity.
Most widely held stocks
- GOOGL — ALPHABET INC56 holders · $222.9B
- MSFT — MICROSOFT CORP52 holders · $394.4B
- AMZN — AMAZON COM INC50 holders · $255.1B
- META — META PLATFORMS INC48 holders · $203.7B
- GOOG — ALPHABET INC45 holders · $148.2B
- TSM — TAIWAN SEMICONDUCTOR MFG LTD41 holders · $50.6B
- V — VISA INC40 holders · $76.5B
- AAPL — APPLE INC33 holders · $412.3B
- BRK-B — BERKSHIRE HATHAWAY INC DEL33 holders · $72.1B
- NVDA — NVIDIA CORPORATION32 holders · $472.0B
- UNH — UNITEDHEALTH GROUP INC30 holders · $57.9B
- MA — MASTERCARD INC29 holders · $56.7B
- DIS — DISNEY WALT CO29 holders · $19.8B
- JPM — JPMORGAN CHASE & CO.27 holders · $62.6B
- AVGO — BROADCOM INC26 holders · $116.9B
- ORCL — ORACLE CORP26 holders · $32.7B
- COF — CAPITAL ONE FINL CORP26 holders · $19.1B
- SPGI — S&P GLOBAL INC25 holders · $23.9B
- AXP — AMERICAN EXPRESS CO24 holders · $66.6B
- WFC — WELLS FARGO CO NEW24 holders · $41.7B
- SPY — SPDR S&P 500 ETF TR23 holders · $93.2B
- BAC — BANK AMER CORP23 holders · $61.8B
- AMAT — APPLIED MATLS INC23 holders · $33.7B
- MCO — MOODYS CORP23 holders · $29.1B
- TMO — THERMO FISHER SCIENTIFIC INC23 holders · $27.6B
- TXN — TEXAS INSTRS INC23 holders · $23.5B
- DHR — DANAHER CORPORATION23 holders · $21.8B
- CMCSA — COMCAST CORP NEW23 holders · $19.6B
- JNJ — JOHNSON & JOHNSON22 holders · $37.6B
- CVS — CVS HEALTH CORP22 holders · $20.3B
- UBER — UBER TECHNOLOGIES INC22 holders · $19.4B
- LLY — ELI LILLY & CO21 holders · $109.7B
- TSLA — TESLA INC21 holders · $92.7B
- NFLX — NETFLIX INC21 holders · $48.8B
- ADBE — ADOBE INC21 holders · $27.7B
- PEP — PEPSICO INC21 holders · $21.9B
- ELV — ELEVANCE HEALTH INC FORMERLY21 holders · $16.3B
- PFE — PFIZER INC21 holders · $14.5B
- KO — COCA COLA CO20 holders · $62.2B
- AMD — ADVANCED MICRO DEVICES INC20 holders · $57.6B
- GE — GE AEROSPACE20 holders · $52.7B
- CRM — SALESFORCE INC20 holders · $26.8B
- SCHW — SCHWAB CHARLES CORP20 holders · $25.3B
- BRK-A — BERKSHIRE HATHAWAY INC DEL20 holders · $22.6B
- ACN — ACCENTURE PLC IRELAND20 holders · $19.0B
- ABT — ABBOTT LABS20 holders · $18.0B
- ADI — ANALOG DEVICES INC20 holders · $14.5B
- ASML — ASML HOLDING N V20 holders · $14.4B
- UNP — UNION PAC CORP20 holders · $12.6B
- MU — MICRON TECHNOLOGY INC19 holders · $107.9B
- XOM — EXXON MOBIL CORP19 holders · $55.2B
- CVX — CHEVRON CORP NEW19 holders · $40.3B
- INTC — INTEL CORP19 holders · $40.3B
- GEV — GE VERNOVA INC19 holders · $27.5B
- LRCX — LAM RESEARCH CORP19 holders · $18.1B
- BK — BANK NEW YORK MELLON CORP19 holders · $13.1B
- CVNA — CARVANA CO19 holders · $9.9B
- AON — AON PLC19 holders · $9.4B
- SE — SEA LTD19 holders · $7.0B
- SPOT — SPOTIFY TECHNOLOGY S A19 holders · $6.6B
- FERG — FERGUSON ENTERPRISES INC19 holders · $3.4B
- HD — HOME DEPOT INC18 holders · $34.3B
- MRK — MERCK & CO INC18 holders · $33.4B
- WMT — WALMART INC18 holders · $29.7B
- CSCO — CISCO SYS INC18 holders · $26.2B
- LIN — LINDE PLC18 holders · $23.8B
- INTU — INTUIT18 holders · $22.4B
- C — CITIGROUP INC18 holders · $21.3B
- RTX — RTX CORPORATION18 holders · $20.7B
- MCD — MCDONALDS CORP18 holders · $16.4B
- MS — MORGAN STANLEY18 holders · $15.9B
- SNPS — SYNOPSYS INC18 holders · $13.4B
- FISV — FISERV INC18 holders · $10.0B
- MELI — MERCADOLIBRE INC18 holders · $9.0B
- PYPL — PAYPAL HLDGS INC18 holders · $7.3B
- PG — PROCTER AND GAMBLE CO17 holders · $33.0B
- QCOM — QUALCOMM INC17 holders · $24.7B
- COP — CONOCOPHILLIPS17 holders · $18.7B
- FDX — FEDEX CORP17 holders · $14.2B
- PGR — PROGRESSIVE CORP17 holders · $13.7B
- DE — DEERE & CO17 holders · $13.2B
- MDT — MEDTRONIC PLC17 holders · $13.0B
- BMY — BRISTOL-MYERS SQUIBB CO17 holders · $12.4B
- LMT — LOCKHEED MARTIN CORP17 holders · $12.1B
- KHC — KRAFT HEINZ CO17 holders · $11.5B
- SLB — SCHLUMBERGER LTD17 holders · $8.6B
- UAL — UNITED AIRLS HLDGS INC17 holders · $7.6B
- FICO — FAIR ISAAC CORP17 holders · $6.4B
- DASH — DOORDASH INC17 holders · $4.7B
- CPNG — COUPANG INC17 holders · $4.0B
- SNDK — SANDISK CORP16 holders · $39.1B
- ABBV — ABBVIE INC16 holders · $32.1B
- CAT — CATERPILLAR INC16 holders · $30.1B
- SPCX — SPACE EXPLORATION TECHN CORP16 holders · $25.5B
- BSX — BOSTON SCIENTIFIC CORP16 holders · $24.7B
- CB — CHUBB LIMITED16 holders · $24.7B
- BA — BOEING CO16 holders · $22.4B
- CI — THE CIGNA GROUP16 holders · $16.8B
- DAL — DELTA AIR LINES INC DEL16 holders · $13.1B
- SHEL — SHELL PLC16 holders · $9.4B