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Q2 2026 · 5,536 books · Updated Sep 6, 2026 · SEC EDGAR 13F

Most-Held Stocks by Hedge Funds: Q2 2026

Microsoft is in 3,871 of 5,536 books (70%). Nvidia holds the most dollars ($605.3B). The board covers 5,536 distinct 13F books as of Q2 2026; every row links through to its stock page.

Top 10 by funds

Share of booksFundsValue
  1. 1MSFTMicrosoft3,871 funds · $441.3B70%3,871$441.3B
  2. 2AMZNAmazon.com3,823 funds · $386.0B69%3,823$386.0B
  3. 3AAPLApple3,758 funds · $518.9B68%3,758$518.9B
  4. 4NVDANvidia3,700 funds · $605.3B67%3,700$605.3B
  5. 5GOOGLAlphabet Class A3,606 funds · $357.6B65%3,606$357.6B
  6. 6GOOGAlphabet Class C3,216 funds · $233.5B58%3,216$233.5B
  7. 7METAMeta Platforms Class A3,142 funds · $204.1B57%3,142$204.1B
  8. 8JPMJPMorgan Chase & Co3,124 funds · $122.8B56%3,124$122.8B
  9. 9BRK.BBerkshire Hathaway Class B3,021 funds · $86.5B55%3,021$86.5B
  10. 10AVGOBroadcom2,964 funds · $234.3B54%2,964$234.3B

Share is the fraction of the 5,536 distinct 13F books that report the name as a long position. Every row links to the stock's holder list.

What changed in Q2 2026

Counted across the same 5,536 books

Most funds buying

funds adding or opening
  1. MSFTMicrosoft2,112
  2. NVDANvidia1,970
  3. AMZNAmazon.com1,953
  4. METAMeta Platforms Class A1,640
  5. AAPLApple1,639
Full board

Most funds selling

funds trimming or exiting
  1. AAPLApple1,957
  2. GOOGLAlphabet Class A1,817
  3. XOMExxonMobil Holdings1,770
  4. MSFTMicrosoft1,700
  5. AMZNAmazon.com1,660
Full board

New to the books

funds opening a first position
  1. HONAHoneywell Aerospace1,137
  2. SPCXSpace Exploration Techn-CL A927
  3. INTCIntel610
  4. MUMicron Technology577
  5. FDXFFedex Freight Holding Co560
Full board

Sector mix of the 100 names

  • Information Technology24
  • Financials12
  • Industrials11
  • Consumer Discretionary10
  • Health Care9
  • Other17
  • ETFs and unclassified17

Get this board in your agent

The full 100 rows, every prior quarter and per-row provenance through the REST API and MCP server. Following is free; building starts with a $1 trial.

Connect your agentFollow Microsoft
Ranks 11 to 25
fundsShareValue
  1. 11LLYEli Lilly & Co2,854 funds · 52% · $215.3B2,85452%$215.3B
  2. 12JNJJohnson & Johnson2,849 funds · 51% · $84.9B2,84951%$84.9B
  3. 13VVisa Class A2,827 funds · 51% · $135.9B2,82751%$135.9B
  4. 14WMTWalmart2,664 funds · 48% · $58.7B2,66448%$58.7B
  5. 15TSLATesla2,587 funds · 47% · $106.8B2,58747%$106.8B
  6. 16COSTCostco Wholesale2,582 funds · 47% · $63.2B2,58247%$63.2B
  7. 17ABBVAbbvie2,560 funds · 46% · $57.2B2,56046%$57.2B
  8. 18HDHome Depot2,531 funds · 46% · $50.0B2,53146%$50.0B
  9. 19CVXChevron2,513 funds · 45% · $65.8B2,51345%$65.8B
  10. 20CSCOCisco Systems2,462 funds · 44% · $53.4B2,46244%$53.4B
  11. 21CATCaterpillar2,454 funds · 44% · $52.3B2,45444%$52.3B
  12. 22PGProcter & Gamble Co2,438 funds · 44% · $46.8B2,43844%$46.8B
  13. 23AMDAdvanced Micro Devices2,435 funds · 44% · $81.1B2,43544%$81.1B
  14. 24MUMicron Technology2,385 funds · 43% · $115.4B2,38543%$115.4B
  15. 25XOMExxonMobil Holdings2,383 funds · 43% · $69.2B2,38343%$69.2B
Show ranks 26 to 82
Ranks 26 to 82
fundsShareValue
  1. 26MRKMerck & Co.2,349 funds · 42% · $50.4B2,34942%$50.4B
  2. 27TSMTaiwan Semiconductor ADR2,263 funds · 41% · $148.6B2,26341%$148.6B
  3. 28MAMastercard Class A2,242 funds · 40% · $127.3B2,24240%$127.3B
  4. 29IBMIntl Business Machines2,216 funds · 40% · $23.6B2,21640%$23.6B
  5. 30BACBank Of America2,208 funds · 40% · $82.4B2,20840%$82.4B
  6. 31KOCoca-Cola Co2,192 funds · 40% · $74.1B2,19240%$74.1B
  7. 32INTCIntel2,160 funds · 39% · $48.5B2,16039%$48.5B
  8. 33ORCLOracle2,156 funds · 39% · $40.2B2,15639%$40.2B
  9. 34AMATApplied Materials2,131 funds · 38% · $76.4B2,13138%$76.4B
  10. 35GEVGE Vernova2,118 funds · 38% · $47.7B2,11838%$47.7B
  11. 36MCDMcDonald's2,114 funds · 38% · $28.5B2,11438%$28.5B
  12. 37RTXRTX2,103 funds · 38% · $47.9B2,10338%$47.9B
  13. 38PEPPepsiCo2,087 funds · 38% · $33.1B2,08738%$33.1B
  14. 39UNHUnitedHealth Group2,061 funds · 37% · $54.6B2,06137%$54.6B
  15. 40GEGeneral Electric2,051 funds · 37% · $64.3B2,05137%$64.3B
  16. 41NFLXNetflix2,047 funds · 37% · $67.4B2,04737%$67.4B
  17. 42AMGNAmgen1,953 funds · 35% · $26.9B1,95335%$26.9B
  18. 43GSGoldman Sachs Group1,925 funds · 35% · $43.3B1,92535%$43.3B
  19. 44VZVerizon Communications1,893 funds · 34% · $22.6B1,89334%$22.6B
  20. 45LRCXLam Research1,875 funds · 34% · $78.0B1,87534%$78.0B
  21. 46QCOMQualcomm1,869 funds · 34% · $29.6B1,86934%$29.6B
  22. 47AXPAmerican Express Co1,842 funds · 33% · $84.6B1,84233%$84.6B
  23. 48ABTAbbott Laboratories1,824 funds · 33% · $29.4B1,82433%$29.4B
  24. 49DISWalt Disney Co1,813 funds · 33% · $32.0B1,81333%$32.0B
  25. 50NEENextEra Energy1,798 funds · 32% · $33.3B1,79832%$33.3B
  26. 51UNPUnion Pacific1,756 funds · 32% · $30.3B1,75632%$30.3B
  27. 52WFCWells Fargo & Co1,755 funds · 32% · $35.0B1,75532%$35.0B
  28. 53PMPhilip Morris International1,753 funds · 32% · $33.6B1,75332%$33.6B
  29. 54PANWPalo Alto Networks1,738 funds · 31% · $32.1B1,73831%$32.1B
  30. 55PFEPfizer1,728 funds · 31% · $22.6B1,72831%$22.6B
  31. 56TXNTexas Instruments1,717 funds · 31% · $45.8B1,71731%$45.8B
  32. 57PLTRPalantir Technologies Inc-A1,702 funds · 31% · $36.1B1,70231%$36.1B
  33. 58LMTLockheed Martin1,683 funds · 30% · $17.1B1,68330%$17.1B
  34. 59TJXTJX Companies1,671 funds · 30% · $42.6B1,67130%$42.6B
  35. 60MSMorgan Stanley1,628 funds · 29% · $38.3B1,62829%$38.3B
  36. 61GLWCorning1,626 funds · 29% · $21.3B1,62629%$21.3B
  37. 62DEDeere & Co1,623 funds · 29% · $23.9B1,62329%$23.9B
  38. 63BABoeing Co1,614 funds · 29% · $31.2B1,61429%$31.2B
  39. 64LOWLowe's Cos1,611 funds · 29% · $21.0B1,61129%$21.0B
  40. 65TAT&T1,610 funds · 29% · $23.0B1,61029%$23.0B
  41. 66ETNEaton Corp1,596 funds · 29% · $28.0B1,59629%$28.0B
  42. 67CCitigroup1,584 funds · 29% · $43.8B1,58429%$43.8B
  43. 68TMOThermo Fisher Scientific1,577 funds · 28% · $49.8B1,57728%$49.8B
  44. 69ASMLASML Holding NV-1,554 funds · 28% · $46.5B1,55428%$46.5B
  45. 70BMYBristol-Myers Squibb Co1,545 funds · 28% · $24.1B1,54528%$24.1B
  46. 71MOAltria Group1,528 funds · 28% · $11.1B1,52828%$11.1B
  47. 72DUKDuke Energy1,504 funds · 27% · $14.3B1,50427%$14.3B
  48. 73UBERUber Technologies1,494 funds · 27% · $35.7B1,49427%$35.7B
  49. 74CRMSalesforce1,492 funds · 27% · $35.2B1,49227%$35.2B
  50. 75COPConocoPhillips1,484 funds · 27% · $31.9B1,48427%$31.9B
  51. 76CRWDCrowdstrike Holdings Class A1,482 funds · 27% · $19.8B1,48227%$19.8B
  52. 77KLACKLA1,480 funds · 27% · $58.2B1,48027%$58.2B
  53. 78SBUXStarbucks1,431 funds · 26% · $12.5B1,43126%$12.5B
  54. 79WMWaste Management1,423 funds · 26% · $24.4B1,42326%$24.4B
  55. 80APHAmphenol Corp-CL A1,409 funds · 25% · $42.9B1,40925%$42.9B
  56. 81SCHWSchwab (Charles)1,408 funds · 25% · $47.9B1,40825%$47.9B
  57. 82SOSouthern Co1,400 funds · 25% · $13.0B1,40025%$13.0B
18 ETFs and index wrappers in the top 100, listed separately

ETFs and index wrappers

fundsShareValue
  1. 1SPYSPDR S&P 500 ETF2,812 funds · 51% · $97.8B2,81251%$97.8B
  2. 2IVViShares Core S&P 500 ETF2,407 funds · 43% · $218.4B2,40743%$218.4B
  3. 3QQQInvesco QQQ Trust Series 12,386 funds · 43% · $41.8B2,38643%$41.8B
  4. 4VOOVanguard S&P 500 ETF2,366 funds · 43% · $80.5B2,36643%$80.5B
  5. 5VTIVanguard Total Stock MKT ETF2,198 funds · 40% · $44.9B2,19840%$44.9B
  6. 6GLDSPDR Gold Shares1,835 funds · 33% · $14.8B1,83533%$14.8B
  7. 7VEAVanguard Ftse Developed ETF1,746 funds · 32% · $36.4B1,74632%$36.4B
  8. 8VUGVanguard Growth ETF1,706 funds · 31% · $26.2B1,70631%$26.2B
  9. 9VTVVanguard Value ETF1,651 funds · 30% · $25.0B1,65130%$25.0B
  10. 10IWMiShares Russell 2000 ETF1,645 funds · 30% · $13.1B1,64530%$13.1B
  11. 11IJRiShares Core S&P Small-Cap E1,639 funds · 30% · $16.5B1,63930%$16.5B
  12. 12IJHiShares Core S&P Midcap ETF1,609 funds · 29% · $19.9B1,60929%$19.9B
  13. 13XLKTechnology Select Sector1,548 funds · 28% · $13.6B1,54828%$13.6B
  14. 14VWOVanguard Ftse Emerging Marke1,526 funds · 28% · $18.6B1,52628%$18.6B
  15. 15VIGVanguard Dividend Apprec ETF1,513 funds · 27% · $10.2B1,51327%$10.2B
  16. 16VBVanguard Small-Cap ETF1,463 funds · 26% · $10.2B1,46326%$10.2B
  17. 17IWFiShares Russell 1000 Growth1,456 funds · 26% · $15.8B1,45626%$15.8B
  18. 18VOVanguard Mid-Cap ETF1,439 funds · 26% · $12.6B1,43926%$12.6B

How this board is built

Computed from the latest non-superseded 13F filing of each of 5,536 tracked funds as of Q2 2026, grouped by security. Long positions only; option legs excluded; superseded amendments dropped; each CUSIP resolved to a ticker. The holder-change comparison is paused while the prior quarter's snapshot is refreshed; it returns on its own.

Frequently asked questions

Which stock do the most hedge funds own in Q2 2026?

Microsoft (MSFT) is held by 3,871 of 5,536 13F books (70%).

Does most-held mean the most institutional dollars too?

Nvidia holds the most institutional dollars at $605.3B, ahead of Microsoft at $441.3B. Breadth counts funds; dollars weigh position size.

Why are ETFs listed separately?

Index wrappers such as SPDR S&P 500 ETF (SPY) and iShares Core S&P 500 ETF (IVV) would crowd a stock-consensus board, so the 18 wrappers sit in their own list below the ranking.

Where is the holder-change comparison?

Paused. The prior quarter's snapshot is not yet comparable with this one, so showing holder changes would mislead. The comparison returns on its own once that snapshot is refreshed.

Where does this data come from?

The latest non-superseded 13F filing of every fund in Arkolith's signal universe, long positions only. Filings arrive on a quarterly lag, so this board is point-in-time as of Q2 2026.

Source: SEC EDGAR 13F (public domain)API / MCPMarkdown twin

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