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Short selling in the United States

Positions open on July 15, 2026, disclosed to FINRA. See the official publication.

Since 13 July 2026 this regulator publishes an aggregated total per company and no longer names the funds. Positions disclosed before that date remain nominative.

Sum of the short positions open on each company, as a percentage of capital.
IssuerShares sold shortFundsLast disclosure
Cerus Corporation Common Stock (CERS) 13,688,689 shares aggregatedJuly 15, 2026
Datang International Power Gen (DIPGF) 13,684,000 shares aggregatedJuly 15, 2026
Rubrik, Inc. (RBRK) 13,671,392 shares aggregatedJuly 15, 2026
Sempra (SRE) 13,658,735 shares aggregatedJuly 15, 2026
Eversource Energy (ES) 13,633,447 shares aggregatedJuly 15, 2026
GDS Holdings Limited ADS (GDS) 13,606,820 shares aggregatedJuly 15, 2026
Magnite, Inc. Common Stock (MGNI) 13,606,133 shares aggregatedJuly 15, 2026
Vermilion Energy INC. (VET) 13,594,522 shares aggregatedJuly 15, 2026
Waystar Holding Corp. Common S (WAY) 13,593,276 shares aggregatedJuly 15, 2026
X-Energy, Inc. Class A Common (XE) 13,593,183 shares aggregatedJuly 15, 2026
Nippon Paint HLDGS Co Ltd Ord (NPCPF) 13,588,056 shares aggregatedJuly 15, 2026
Beijing Enterprises Water Grou (BJWTF) 13,565,162 shares aggregatedJuly 15, 2026
Arcutis Biotherapeutics, Inc. (ARQT) 13,561,565 shares aggregatedJuly 15, 2026
Ascendas Real Estate Investmen (ACDSF) 13,557,369 shares aggregatedJuly 15, 2026
WEC Energy Group, Inc. (WEC) 13,553,597 shares aggregatedJuly 15, 2026
Matador Resources Company (Mtdr) 13,547,981 shares aggregatedJuly 15, 2026
YAMAHA MOTOR CO LTD SHS (Japan (YAMHF) 13,546,994 shares aggregatedJuly 15, 2026
ResMed Inc. (RMD) 13,541,103 shares aggregatedJuly 15, 2026
SPDR Gold Trust, SPDR Gold Sha (GLD) 13,500,524 shares aggregatedJuly 15, 2026
Trip.com Group Limited America (TCOM) 13,486,568 shares aggregatedJuly 15, 2026
Option Care Health, Inc. Commo (OPCH) 13,473,260 shares aggregatedJuly 15, 2026
Orchid Island Capital, Inc. (ORC) 13,458,946 shares aggregatedJuly 15, 2026
Amentum Holdings, Inc. (AMTM) 13,453,698 shares aggregatedJuly 15, 2026
Prologis, INC. (PLD) 13,453,134 shares aggregatedJuly 15, 2026
iShares Core U.S. Aggregate Bo (AGG) 13,442,896 shares aggregatedJuly 15, 2026
T3 Defense Inc. Common Stock (DFNS) 13,439,238 shares aggregatedJuly 15, 2026
Centene Corporation (CNC) 13,435,405 shares aggregatedJuly 15, 2026
Ultragenyx Pharmaceutical Inc. (RARE) 13,435,087 shares aggregatedJuly 15, 2026
RB Global, Inc. (RBA) 13,391,398 shares aggregatedJuly 15, 2026
CAVA Group, Inc. (CAVA) 13,382,232 shares aggregatedJuly 15, 2026
Groupon, Inc. Common Stock (GRPN) 13,376,270 shares aggregatedJuly 15, 2026
BTQ Technologies Corp. Common (BTQ) 13,372,626 shares aggregatedJuly 15, 2026
Valvoline Inc. (VVV) 13,362,337 shares aggregatedJuly 15, 2026
FU Shou Yuan Intl Group LTD O (Fshuf) 13,359,519 shares aggregatedJuly 15, 2026
Fortive Corporation (FTV) 13,357,225 shares aggregatedJuly 15, 2026
Aclaris Therapeutics, Inc. Com (ACRS) 13,357,058 shares aggregatedJuly 15, 2026
Green Plains Inc. Common Stock (GPRE) 13,317,802 shares aggregatedJuly 15, 2026
LUNDIN MNG CORP Common Shares (LUNMF) 13,312,027 shares aggregatedJuly 15, 2026
Halozyme Therapeutics, Inc. Co (HALO) 13,295,961 shares aggregatedJuly 15, 2026
EQT AB SHARE AK Common Shares (EQBBF) 13,290,783 shares aggregatedJuly 15, 2026
Omega Healthcare Investors Inc (OHI) 13,256,442 shares aggregatedJuly 15, 2026
Abeona Therapeutics Inc. Commo (ABEO) 13,233,189 shares aggregatedJuly 15, 2026
Bumble Inc. Class A Common Sto (BMBL) 13,188,567 shares aggregatedJuly 15, 2026
Ally Financial Inc. (ALLY) 13,148,821 shares aggregatedJuly 15, 2026
Eldorado Gold Corporation (EGO) 13,146,965 shares aggregatedJuly 15, 2026
Organogenesis Holdings Inc. Cl (ORGO) 13,129,255 shares aggregatedJuly 15, 2026
Tandem Diabetes Care, Inc. Com (TNDM) 13,115,208 shares aggregatedJuly 15, 2026
Flywire Corporation Voting Com (FLYW) 13,105,497 shares aggregatedJuly 15, 2026
Kite Realty Group Trust (KRG) 13,102,588 shares aggregatedJuly 15, 2026
Dell Technologies Inc. (DELL) 13,094,061 shares aggregatedJuly 15, 2026
AI Financial Corporation Commo (AIFC) 13,092,058 shares aggregatedJuly 15, 2026
Rollins, Inc. (ROL) 13,091,162 shares aggregatedJuly 15, 2026
Royal Caribbean Group (RCL) 13,080,319 shares aggregatedJuly 15, 2026
Invitation Homes Inc. Common S (INVH) 13,074,404 shares aggregatedJuly 15, 2026
Agricultural Bank of China Ord (ACGBF) 13,065,337 shares aggregatedJuly 15, 2026
BERKSHIRE HATHAWAY Class B (BRKB) 13,030,468 shares aggregatedJuly 15, 2026
Alcon Inc. Ordinary Shares (ALC) 13,005,560 shares aggregatedJuly 15, 2026
Noble Corporation plc (NE) 13,005,119 shares aggregatedJuly 15, 2026
Diamondrock Hospitality Compan (DRH) 13,004,855 shares aggregatedJuly 15, 2026
Relmada Therapeutics, Inc. Com (RLMD) 12,990,487 shares aggregatedJuly 15, 2026
Golub Capital BDC, Inc. Common (GBDC) 12,975,515 shares aggregatedJuly 15, 2026
China Galaxy Secs CO LTD CGS R (Cgxyf) 12,973,618 shares aggregatedJuly 15, 2026
Candel Therapeutics, Inc. Comm (CADL) 12,961,675 shares aggregatedJuly 15, 2026
Americas Gold and Silver Corpo (USAS) 12,928,593 shares aggregatedJuly 15, 2026
PowerFleet, Inc. Common Stock (AIOT) 12,917,131 shares aggregatedJuly 15, 2026
Blend Labs, Inc. (BLND) 12,890,381 shares aggregatedJuly 15, 2026
KUAISHOU TECHNOLOGY Ordinary S (KUASF) 12,889,509 shares aggregatedJuly 15, 2026
True Corporation Public Compan (Tcpff) 12,889,405 shares aggregatedJuly 15, 2026
Capital One Financial (COF) 12,880,294 shares aggregatedJuly 15, 2026
Amer Sports, Inc. (AS) 12,877,485 shares aggregatedJuly 15, 2026
SUNAC SVCS HLDGS LTD Common St (SSHLF) 12,876,201 shares aggregatedJuly 15, 2026
NetApp, Inc. Common Stock (NTAP) 12,870,550 shares aggregatedJuly 15, 2026
Industrial and Commercial Bank (IDCBF) 12,867,304 shares aggregatedJuly 15, 2026
Amgen Inc. Common Stock (AMGN) 12,845,008 shares aggregatedJuly 15, 2026
COMPASS Pathways Plc American (CMPS) 12,843,566 shares aggregatedJuly 15, 2026
Home Depot, Inc. (HD) 12,827,409 shares aggregatedJuly 15, 2026
BILL Holdings, Inc. (BILL) 12,822,172 shares aggregatedJuly 15, 2026
Stitch Fix, Inc. Class A Commo (SFIX) 12,820,329 shares aggregatedJuly 15, 2026
CITIC LTD SHS (Hong Kong) (CTPCF) 12,812,494 shares aggregatedJuly 15, 2026
NIBE INDUSTRIER AB Ordinary Sh (NDRBF) 12,801,868 shares aggregatedJuly 15, 2026
First Horizon Corporation (FHN) 12,792,045 shares aggregatedJuly 15, 2026
iShares MSCI EAFE Value ETF (EFV) 12,786,440 shares aggregatedJuly 15, 2026
MetLife, Inc. (MET) 12,774,912 shares aggregatedJuly 15, 2026
NEXI SPA Azione Ordinarie Senz (NEXPF) 12,768,537 shares aggregatedJuly 15, 2026
Rayonier Inc. (RYN) 12,756,304 shares aggregatedJuly 15, 2026
Byd Electronic International C (BYDIF) 12,746,602 shares aggregatedJuly 15, 2026
Gates Industrial Corporation p (GTES) 12,709,391 shares aggregatedJuly 15, 2026
ADTRAN Holdings, Inc. Common S (ADTN) 12,697,742 shares aggregatedJuly 15, 2026
Veritone, Inc. Common Stock (VERI) 12,697,515 shares aggregatedJuly 15, 2026
Avalo Therapeutics, Inc. Commo (AVTX) 12,679,040 shares aggregatedJuly 15, 2026
Southern Cross Gold Cons LTD C (Sxgcf) 12,672,606 shares aggregatedJuly 15, 2026
Ramaco Resources, Inc. Class A (METC) 12,658,994 shares aggregatedJuly 15, 2026
LKQ Corporation Common Stock (LKQ) 12,654,724 shares aggregatedJuly 15, 2026
Trevi Therapeutics, Inc. Commo (TRVI) 12,653,483 shares aggregatedJuly 15, 2026
Guangzhou Automobile Group CO (Gnzuf) 12,651,494 shares aggregatedJuly 15, 2026
Haleon plc American Depositary (HLN) 12,630,231 shares aggregatedJuly 15, 2026
Blackstone Secured Lending Fun (BXSL) 12,628,540 shares aggregatedJuly 15, 2026
MDU Resources Group, Inc. (MDU) 12,619,019 shares aggregatedJuly 15, 2026
Vistra Corp. (VST) 12,604,861 shares aggregatedJuly 15, 2026
PBF Energy INC. (PBF) 12,592,154 shares aggregatedJuly 15, 2026
Peabody Energy Corporation (BTU) 12,585,367 shares aggregatedJuly 15, 2026
Applovin Corporation Class A C (APP) 12,561,495 shares aggregatedJuly 15, 2026
Allegro MicroSystems, Inc. Com (ALGM) 12,560,242 shares aggregatedJuly 15, 2026
Arcus Biosciences, Inc. (RCUS) 12,559,230 shares aggregatedJuly 15, 2026
Snam SPA Ordinary Shares (Ital (SNMRF) 12,558,166 shares aggregatedJuly 15, 2026
Braze, Inc. Class A Common Sto (BRZE) 12,553,830 shares aggregatedJuly 15, 2026
LyondellBasell Industries N.V. (LYB) 12,528,631 shares aggregatedJuly 15, 2026
Diversified Healthcare Trust C (DHC) 12,510,220 shares aggregatedJuly 15, 2026
Spyre Therapeutics, Inc. Commo (SYRE) 12,508,710 shares aggregatedJuly 15, 2026
Aflac Inc. (AFL) 12,496,303 shares aggregatedJuly 15, 2026
Datadog, Inc. Class A Common S (DDOG) 12,494,014 shares aggregatedJuly 15, 2026
Open Text Corporation Common S (OTEX) 12,481,785 shares aggregatedJuly 15, 2026
Liontown Limited Ordinary Shar (LINRF) 12,475,904 shares aggregatedJuly 15, 2026
Clear Secure, Inc. (YOU) 12,465,940 shares aggregatedJuly 15, 2026
Hycroft Mining Holding Corpora (HYMC) 12,461,913 shares aggregatedJuly 15, 2026
Surf Air Mobility Inc. (SRFM) 12,450,779 shares aggregatedJuly 15, 2026
AvePoint, Inc. Class A Common (AVPT) 12,448,691 shares aggregatedJuly 15, 2026
ITV plc Ordinary Shares (Unite (ITVPF) 12,448,388 shares aggregatedJuly 15, 2026
Sunbelt Rentals Holdings, Inc. (SUNB) 12,444,617 shares aggregatedJuly 15, 2026
Arlo Technologies, Inc. (ARLO) 12,441,709 shares aggregatedJuly 15, 2026
iShares Semiconductor ETF (SOXX) 12,400,967 shares aggregatedJuly 15, 2026
Broadstone Net Lease, Inc. (BNL) 12,395,520 shares aggregatedJuly 15, 2026
Whirlpool Corp. (WHR) 12,387,273 shares aggregatedJuly 15, 2026
News Corporation Class A Commo (NWSA) 12,370,016 shares aggregatedJuly 15, 2026
Trimble Inc. Common Stock (TRMB) 12,368,495 shares aggregatedJuly 15, 2026
Match Group, Inc. Common Stock (MTCH) 12,361,248 shares aggregatedJuly 15, 2026
TPG Inc. Class A Common Stock (TPG) 12,349,967 shares aggregatedJuly 15, 2026
American Resources Corporation (AREC) 12,349,825 shares aggregatedJuly 15, 2026
BGC Group, Inc. Class A Common (BGC) 12,341,548 shares aggregatedJuly 15, 2026
Liquidia Corporation Common St (LQDA) 12,333,107 shares aggregatedJuly 15, 2026
Sembcorp Industries Limited Or (SCRPF) 12,303,623 shares aggregatedJuly 15, 2026
Zillow Group, Inc. Class C Cap (Z) 12,294,790 shares aggregatedJuly 15, 2026
Vanguard FTSE All-World Ex-US (VEU) 12,282,080 shares aggregatedJuly 15, 2026
Prudential Financial, Inc. (PRU) 12,276,352 shares aggregatedJuly 15, 2026
Amylyx Pharmaceuticals, Inc. C (AMLX) 12,265,993 shares aggregatedJuly 15, 2026
Brandywine Realty Trust (BDN) 12,261,140 shares aggregatedJuly 15, 2026
ViaSat, Inc. Common Stock (VSAT) 12,255,507 shares aggregatedJuly 15, 2026
WeRide Inc. American Depositar (WRD) 12,216,864 shares aggregatedJuly 15, 2026
Sportradar Group AG Class A Or (SRAD) 12,212,702 shares aggregatedJuly 15, 2026
McEwen Inc. (MUX) 12,211,831 shares aggregatedJuly 15, 2026
UGI Corporation (UGI) 12,203,595 shares aggregatedJuly 15, 2026
Zenas BioPharma, Inc. Common S (ZBIO) 12,169,907 shares aggregatedJuly 15, 2026
Cintas Corporation Common Stoc (CTAS) 12,164,882 shares aggregatedJuly 15, 2026
Tetra Tech, Inc. Common Stock (TTEK) 12,159,832 shares aggregatedJuly 15, 2026
Royalty Pharma plc Class A Ord (RPRX) 12,134,646 shares aggregatedJuly 15, 2026
Vanguard Intermediate-Term Cor (VCIT) 12,126,948 shares aggregatedJuly 15, 2026
Bio-Techne Corp Common Stock (TECH) 12,123,448 shares aggregatedJuly 15, 2026
Phathom Pharmaceuticals, Inc. (PHAT) 12,121,682 shares aggregatedJuly 15, 2026
CG Oncology, Inc. Common stock (CGON) 12,105,610 shares aggregatedJuly 15, 2026
Pagaya Technologies Ltd. Class (PGY) 12,102,833 shares aggregatedJuly 15, 2026
D.R. Horton Inc. (DHI) 12,091,385 shares aggregatedJuly 15, 2026
Cardiff Oncology, Inc. Common (CRDF) 12,086,690 shares aggregatedJuly 15, 2026
Gogo Inc. Common Stock (GOGO) 12,071,135 shares aggregatedJuly 15, 2026
Viavi Solutions Inc. Common St (VIAV) 12,069,921 shares aggregatedJuly 15, 2026
Community Health Systems, Inc. (CYH) 12,065,190 shares aggregatedJuly 15, 2026
Crown Castle Inc. (CCI) 12,058,531 shares aggregatedJuly 15, 2026
Zimmer Biomet Holdings, Inc. (ZBH) 12,054,804 shares aggregatedJuly 15, 2026
ExlService Holdings, Inc. Comm (EXLS) 12,022,753 shares aggregatedJuly 15, 2026
Travere Therapeutics, Inc. Com (TVTX) 12,015,392 shares aggregatedJuly 15, 2026
STMicroelectronics N.V. (STM) 11,993,369 shares aggregatedJuly 15, 2026
State Street SPDR S&P Oil & Ga (XOP) 11,986,449 shares aggregatedJuly 15, 2026
Gemini Space Station, Inc. Cla (GEMI) 11,968,542 shares aggregatedJuly 15, 2026
Firefly Aerospace Inc. Common (FLY) 11,953,174 shares aggregatedJuly 15, 2026
AGNT, Inc. Common Stock (AGNT) 11,952,166 shares aggregatedJuly 15, 2026
HK Elec Invts & HK Elec Invts (Hkcvf) 11,919,478 shares aggregatedJuly 15, 2026
NEWBORN TOWN INC Ordinary Shar (NWBTF) 11,917,000 shares aggregatedJuly 15, 2026
Trex Company, Inc. (TREX) 11,914,150 shares aggregatedJuly 15, 2026
China ED Group Hldgs LTD HKD S (Ceghf) 11,910,810 shares aggregatedJuly 15, 2026
iShares Biotechnology ETF (IBB) 11,909,708 shares aggregatedJuly 15, 2026
United States Oil Fund, LP (USO) 11,864,224 shares aggregatedJuly 15, 2026
Antero Resources Corporation (AR) 11,862,796 shares aggregatedJuly 15, 2026
LENZ Therapeutics, Inc. Common (LENZ) 11,861,316 shares aggregatedJuly 15, 2026
Perpetua Resources Corp. Commo (PPTA) 11,832,464 shares aggregatedJuly 15, 2026
Hydrograph Clean PWR INC COM ( (Hgraf) 11,827,786 shares aggregatedJuly 15, 2026
Hut 8 Corp. Common Stock (HUT) 11,823,436 shares aggregatedJuly 15, 2026
Canadian Imperial Bank of Comm (CM) 11,805,673 shares aggregatedJuly 15, 2026
QuidelOrtho Corporation Common (QDEL) 11,802,749 shares aggregatedJuly 15, 2026
Emerson Electric Co. (EMR) 11,776,220 shares aggregatedJuly 15, 2026
Caris Life Sciences, Inc. Comm (CAI) 11,734,462 shares aggregatedJuly 15, 2026
The Chemours Company (CC) 11,684,336 shares aggregatedJuly 15, 2026
Zhaojin Mining Industry Co LTD (ZHAOF) 11,683,900 shares aggregatedJuly 15, 2026
Aptiv PLC (APTV) 11,671,859 shares aggregatedJuly 15, 2026
Singapore Telecommunications L (SNGNF) 11,667,483 shares aggregatedJuly 15, 2026
Clorox Company (CLX) 11,666,754 shares aggregatedJuly 15, 2026
Insmed Incorporated Common Sto (INSM) 11,624,756 shares aggregatedJuly 15, 2026
B&G Foods, Inc. (BGS) 11,595,923 shares aggregatedJuly 15, 2026
Caribou Biosciences, Inc. Comm (CRBU) 11,594,287 shares aggregatedJuly 15, 2026
Pharming Group Nv Leiden Ordin (PHGUF) 11,573,576 shares aggregatedJuly 15, 2026
Figure Technology Solutions, I (FIGR) 11,565,440 shares aggregatedJuly 15, 2026
DigitalOcean Holdings, Inc. (DOCN) 11,561,544 shares aggregatedJuly 15, 2026
Hercules Capital, Inc. (HTGC) 11,552,442 shares aggregatedJuly 15, 2026
The Baldwin Insurance Group, I (BWIN) 11,552,379 shares aggregatedJuly 15, 2026
NiSource Inc. (NI) 11,548,460 shares aggregatedJuly 15, 2026
Fox Corporation Class B Common (FOX) 11,532,756 shares aggregatedJuly 15, 2026
CarMax Inc. (KMX) 11,526,450 shares aggregatedJuly 15, 2026
American Express Company (AXP) 11,492,443 shares aggregatedJuly 15, 2026
Gartner, Inc. (IT) 11,490,480 shares aggregatedJuly 15, 2026
Haier Smart Home CO LTD Bearer (Hrshf) 11,484,133 shares aggregatedJuly 15, 2026
Banco BPM Societa Per Azioni O (BNCZF) 11,475,650 shares aggregatedJuly 15, 2026
RPC, Inc. (RES) 11,474,086 shares aggregatedJuly 15, 2026
Inter & Co. Inc. Class A Commo (INTR) 11,471,327 shares aggregatedJuly 15, 2026
McDonald's Corporation (MCD) 11,465,084 shares aggregatedJuly 15, 2026
NovoCure Limited Ordinary Shar (NVCR) 11,460,044 shares aggregatedJuly 15, 2026
Bank of Nova Scotia (BNS) 11,451,356 shares aggregatedJuly 15, 2026
Poste Italiane SPAQ Azioni Ord (PITAF) 11,448,921 shares aggregatedJuly 15, 2026
Guardant Health, Inc. Common S (GH) 11,421,015 shares aggregatedJuly 15, 2026
ProShares UltraPro Short QQQ (SQQQ) 11,420,254 shares aggregatedJuly 15, 2026
Adaptive Biotechnologies Corpo (ADPT) 11,396,387 shares aggregatedJuly 15, 2026
The Magnum Ice Cream Company N (MICC) 11,393,311 shares aggregatedJuly 15, 2026
4D Molecular Therapeutics, Inc (FDMT) 11,363,434 shares aggregatedJuly 15, 2026
Edwards Lifesciences Corp (EW) 11,352,019 shares aggregatedJuly 15, 2026
EZCORP, Inc. Class A Non Votin (EZPW) 11,344,144 shares aggregatedJuly 15, 2026
Dave & Buster's Entertainment, (PLAY) 11,330,557 shares aggregatedJuly 15, 2026
Solstice Advanced Materials In (SOLS) 11,325,520 shares aggregatedJuly 15, 2026
Henderson Land Development Co (HLDVF) 11,309,935 shares aggregatedJuly 15, 2026
iShares Core S&P 500 ETF (IVV) 11,304,099 shares aggregatedJuly 15, 2026
Larimar Therapeutics, Inc. Com (LRMR) 11,303,953 shares aggregatedJuly 15, 2026
H World Group Limited American (HTHT) 11,296,703 shares aggregatedJuly 15, 2026
Teck Resources Limited (TECK) 11,284,495 shares aggregatedJuly 15, 2026
Webster Financial Corporation (WBS) 11,284,413 shares aggregatedJuly 15, 2026
Giant Biogene Hldg CO. LTD USD (Gbhcf) 11,282,951 shares aggregatedJuly 15, 2026
Birkenstock Holding plc (BIRK) 11,279,208 shares aggregatedJuly 15, 2026
Indivior Pharmaceuticals, Inc. (INDV) 11,277,025 shares aggregatedJuly 15, 2026
Vontier Corporation (VNT) 11,252,735 shares aggregatedJuly 15, 2026
iShares U.S. Real Estate ETF (IYR) 11,242,875 shares aggregatedJuly 15, 2026
Outlook Therapeutics, Inc. Com (OTLK) 11,240,969 shares aggregatedJuly 15, 2026
Dynatrace, Inc. (DT) 11,237,295 shares aggregatedJuly 15, 2026
SJM Holdings Ltd Ordinary shar (SJMHF) 11,232,070 shares aggregatedJuly 15, 2026
Vertiv Holdings Co Class A Com (VRT) 11,209,855 shares aggregatedJuly 15, 2026
Olympus Corporation Ordinary S (OCPNF) 11,208,209 shares aggregatedJuly 15, 2026
Dollar Tree Inc. Common Stock (DLTR) 11,202,106 shares aggregatedJuly 15, 2026
Karman Holdings Inc. (KRMN) 11,176,889 shares aggregatedJuly 15, 2026
RLJ Lodging Trust (RLJ) 11,168,973 shares aggregatedJuly 15, 2026
APi Group Corporation (APG) 11,157,903 shares aggregatedJuly 15, 2026
Arbe Robotics Ltd. Ordinary Sh (ARBE) 11,155,420 shares aggregatedJuly 15, 2026
First Hawaiian, Inc. Common St (FHB) 11,153,423 shares aggregatedJuly 15, 2026
Celcuity Inc. Common Stock (CELC) 11,152,374 shares aggregatedJuly 15, 2026
Dynex Capital, Inc. (DX) 11,130,109 shares aggregatedJuly 15, 2026
Sonos, Inc. Common Stock (SONO) 11,121,984 shares aggregatedJuly 15, 2026
Personalis, Inc. Common Stock (PSNL) 11,097,287 shares aggregatedJuly 15, 2026
Lowe's Companies Inc. (LOW) 11,089,170 shares aggregatedJuly 15, 2026
Sibanye-Stillwater American De (SBSW) 11,084,832 shares aggregatedJuly 15, 2026
Fortis Inc. Common Shares (FTS) 11,072,538 shares aggregatedJuly 15, 2026
Warner Music Group Corp. Class (WMG) 11,068,308 shares aggregatedJuly 15, 2026
UDR, Inc. (UDR) 11,062,906 shares aggregatedJuly 15, 2026
Zhejiang Leapmotor Technology (Zjlmf) 11,057,209 shares aggregatedJuly 15, 2026
Angang Steel Co Ltd Ordinary (ANGGF) 11,052,000 shares aggregatedJuly 15, 2026
BXP, Inc. (BXP) 11,031,286 shares aggregatedJuly 15, 2026
ACADIA Pharmaceuticals Inc. Co (ACAD) 11,029,444 shares aggregatedJuly 15, 2026
Southern Copper Corporation (SCCO) 11,023,738 shares aggregatedJuly 15, 2026

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