Stocks Most Commonly
Held In Funds’ Top 10

Stocks most commonly held in the top 10 positions in portfolios of the world’s biggest hedge funds & institutions

Name Funds holding
in top 10
Growth Growth % 6-month
return
GTO icon
1501
Invesco Total Return Bond ETF
GTO
$1.95B
16 -1 -6% 1.94%
MTBA icon
1502
Simplify MBS ETF
MTBA
$1.46B
13 -1 -7% 1.1%
FTLS icon
1503
First Trust Long/Short Equity ETF
FTLS
$1.98B
12 -1 -8% 7.1%
USTB icon
1504
Victory Portfolios II VictoryShares Short-Term Bond ETF
USTB
$1.55B
12 -1 -8% 1.03%
CTA icon
1505
Simplify Managed Futures Strategy ETF
CTA
$1.14B
12 -1 -8% 6.34%
ESTA icon
1506
Establishment Labs
ESTA
$1.13B
8 -1 -11% 0.43%
GLTR icon
1507
abrdn Physical Precious Metals Basket Shares ETF
GLTR
$1.67B
7 -1 -13% 22.2%
IBD icon
1508
Inspire Corporate Bond ETF
IBD
$420M
7 -1 -13% 2.1%
ATUS icon
1509
Altice USA
ATUS
$1.18B
7 -1 -13% 0.4%
ILCV icon
1510
iShares Morningstar Value ETF
ILCV
$1.1B
7 -1 -13% 9.17%
EOLS icon
1511
Evolus
EOLS
$422M
7 -1 -13% 52%
ARCO icon
1512
Arcos Dorados Holdings
ARCO
$1.43B
7 -1 -13% 19.5%
BSJP icon
1513
Invesco BulletShares 2025 High Yield Corporate Bond ETF
BSJP
$703M
7 -1 -13% 0.04%
CLMT icon
1514
Calumet Specialty Products
CLMT
$1.67B
7 -1 -13% 42.3%
TRVI icon
1515
Trevi Therapeutics
TRVI
$972M
7 -1 -13% 22%
OSEA icon
1516
Harbor International Compounders ETF
OSEA
$536M
6 -1 -14% 7.17%
FTGS icon
1517
First Trust Growth Strength ETF
FTGS
$1.27B
6 -1 -14% 19.3%
PRAX icon
1518
Praxis Precision Medicines
PRAX
$884M
6 -1 -14% 13.1%
TPYP icon
1519
Tortoise North American Pipeline Fund
TPYP
$708M
6 -1 -14% 0.78%
SPLB icon
1520
SPDR Portfolio Long Term Corporate Bond ETF
SPLB
$929M
6 -1 -14% 3.33%
BUXX icon
1521
Strive Enhanced Income Short Maturity ETF
BUXX
$289M
6 -1 -14% 0.05%
JVAL icon
1522
JPMorgan US Value Factor ETF
JVAL
$549M
6 -1 -14% 12.1%
IBTJ icon
1523
iShares iBonds Dec 2029 Term Treasury ETF
IBTJ
$742M
6 -1 -14% 1.85%
VTOL icon
1524
Bristow Group
VTOL
$1.09B
6 -1 -14% 19.1%
LDUR icon
1525
PIMCO Enhanced Low Duration Active Exchange-Traded Fund
LDUR
$948M
6 -1 -14% 0.51%