The Stock Index13F Holders85334 enriched tickers

Stocks

Every security held by an SEC 13F filer — sorted by institutional ownership and sliced by sector, holder churn, and recent activist activity. 85334 enriched tickers · Source: SEC EDGAR.

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Ranked by market capShowing rows 817864 of 85334 enriched
Source: SEC EDGAR · 13F-HR
#StockSectorMkt cap
817
RTX 2.375 03/15/32RAYTHEON TECHNOLOGIES CORP 2.375 percent 03/15/32 B/E DTD 11/16/21 CLB
818
PLSAXPRINCIPAL LARGE-CAP S&P 500 INDEX FUND CLASS A
819
PNC V2.307 04/23/32PNC FINL SVCS GROUP INC SR NT FIXED / FLTG RATE VARIABL 04/23/32 B/E DTD 04/23/21 CLB
820
PEGIXPIMCO ESG INCOME FUND INSTITUTIONAL CLASS
821
PEAFXPIMCO RAE EMERGING MARKETS FUND CLASS A
822
PFE 4.65 05/19/30PFIZER INVT ENTERPRISES PTE LTD NT 4.650 percent 05/19/30 B/E DTD 05/19/23 CLB
823
SUMMIT HEALTHCARE REIT INC
824
FS MVP PRIVATE MARKETS FUNDS CLASS I
825
ESC ETF VANGUARD WELL
826
PGIM PRIVATE CREDIT FUND CLASS I
827
PACIFIC OAK STRATEGIC OPPORTUNITY REIT
828
NATIONAL HEALTHCARE PROPERTIES INC
829
FRANKLIN BSP CAPITAL CORPORATION
830
NOLOAD VARIABLE ANNUITY
831
NO LOAD VARIABLE ANN UITY
832
FCBYXNUVEEN STRATEGIC INCOME FUND CLASS I
833
TEMHXNUVEEN EMERGING MARKETS EQUITY FUND CLASS I
834
NEE 2.44 01/15/32NEXTERA ENERGY CAP HLDGS INC 2.440 percent 01/15/32 B/E DTD 12/13/21 CLB
835
CNWAX529 AMERICAN NEW WORLD FUND CLASS A
836
N/A
837
ETIDXEVENTIDE DIVIDEND GROWTH FUND CLASS I
838
MS 4.9 01/04/27 0001MORGAN STANLEY PRIVATE BK NATL ASSN PUR N Y CTF DEP 4.900 percent 01/04/27 B/E DTD 07/03/24
839
MORGAN STANLEY PRIVATE BK NATL ASSN PUR N Y CTF DEP 4.650 percent 05/01/28 B/E DTD 05/01/24
840
MS 4.6 05/10/27MORGAN STANLEY BK N A SALT LAKE CITY UTAH CTF DEP 4.600 percent 05/10/27 B/E DTD 05/10/23
841
MS 4.55 05/01/29MORGAN STANLEY BK N A SALT LAKE CITY UTAH CTF DEP 4.550 percent 05/01/29 B/E DTD 05/01/24
842
MS 6.25 08/09/26 MTNMORGAN STANLEY SR GLOBAL MEDIUM TERM NT SER F 6.250 percent 08/09/26 B/E DTD 08/09/06
843
MACFXMFS CONSERVATIVE ALLOCATION FUND CLASS A
844
MAR 3.5 10/15/32 GGMARRIOTT INTL INC NEW NT SER GG VARIABL 10/15/32 B/E DTD 08/14/20 CLB
845
LYB 2.25 10/01/30LYB INTL FIN III LLC GTD NT 2.250 percent 10/01/30 B/E DTD 10/08/20 CLB
846
LOW 6.65 09/15/37LOWES COS INC NT 6.650 percent 09/15/37 B/E DTD 09/11/07
847
LOW 3.65 04/05/29LOWES COS INC NT 3.650 percent 04/05/29 B/E DTD 04/05/19 CLB
848
LNC 3.05 01/15/30LINCOLN NATL CORP IND SR NT 3.050 percent 01/15/30 B/E DTD 08/19/19 CLB
849
KMI 2 02/15/31KINDER MORGAN INC DEL SR NT 2.000 percent 02/15/31 B/E DTD 08/05/20 CLB
850
OICAXJPMORGAN INVESTOR CONSERVATIVE GROWTH FUND CLASS A
851
JNJ 2.9 01/15/28JOHNSON & JOHNSON FXD RT SR NT 2.900 percent 01/15/28 B/E DTD 11/10/17 CLB
852
IBRD 3.875 08/28/34INTERNATIONAL BK FOR RECON & DEV GLBL BD 3.875 percent 08/28/34 B/E DTD 08/28/24
853
IFBFXAMERICAN INTERMEDIATE BOND FUND OF AMERICA CLASS F3
854
CBOAX529 AMERICAN INTERMEDIATE BOND FUND OF AMERICA CLASS A
855
FAIFX529 AMERICAN INCOME FUND OF AMERICA CLASS F2
856
CIMAX529 AMERICAN INCOME FUND OF AMERICA CLASS A
857
HON 5 02/15/33HONEYWELL INTL INC SR NT 5.000 percent 02/15/33 B/E DTD 11/02/22 CLB
858
HHLHARVEST HEALTHCARE LEADERS INCOME ETF TRUST UNITS -A- ISIN CA41755F1071
859
GUGGENHEIM DEFINED PORT UNIT 2451 BLUE CHIP GROWTH PORT SER 44 MONTHLY REINVEST
860
G T E FLORIDA INC DEB SER E MBIA-BNY 6.860 percent 02/01/28 REG DTD 02/01/98
861
FT UNIT 12330 S&P DVD ARISTOCRATS TARGET 25 3Q 25 MONTHLY REINVT
862
FJOZIXFT UNIT 12049 BANKING OPPTY PORT SER 58 MONTHLY CASH
863
FOKJRXFT UNIT 11979 LTD DURATION FIXED INCOME ETF PORT SER 63 MONTHLY CASH
864
FT UNIT 11806 SMID CAP STRENGTH PORT SER 65 SEMI ANNUAL REINVEST
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