Arkolith
Follow
StocksRotationSmart moneyRanksTrendingInvestorsFundsInsiderNewsGlossary
BuildPricing
Open navigation
Follow
StocksRotationSmart moneyRanksTrendingInvestorsFundsInsiderNewsGlossary
Build
DocsPricing
ConsoleGet API key
Arkolith
Follow
StocksRotationSmart moneyRanksTrendingInvestorsFundsInsiderNewsGlossary
BuildPricing
Open navigation
Follow
StocksRotationSmart moneyRanksTrendingInvestorsFundsInsiderNewsGlossary
Build
DocsPricing
ConsoleGet API key
ArkolithLeaderboardsOwnership momentum

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

Hedge-Fund Ownership Momentum (Quarter-over-Quarter): Q2 2026

Honeywell Aerospace leads this board at +1,138 holders vs the prior quarter. The board covers 5,536 distinct 13F books as of Q2 2026; every row links through to its stock page.

Top 10 by Δ funds

Δ fundsValue
  1. 1HONAHoneywell Aerospace+1,138 Δ funds · $4.7B+1,138$4.7B
  2. 2SPCXSpace Exploration Techn-CL A+928 Δ funds · $127.5B+928$127.5B
  3. 3FDXFFedex Freight Holding Co+560 Δ funds · $2.0B+560$2.0B
  4. 4DDDupont De Nemours+511 Δ funds · $1.2B+511$1.2B
  5. 5INTCIntel+461 Δ funds · $32.6B+461$32.6B
  6. 6CCLCarnival Corp+457 Δ funds · $2.8B+457$2.8B
  7. 7MUMicron Technology+380 Δ funds · $77.8B+380$77.8B
  8. 8AMDAdvanced Micro Devices+351 Δ funds · $54.8B+351$54.8B
  9. 9SNDKSandisk+281 Δ funds · $27.1B+281$27.1B
  10. 10MRVLMarvell Technology+280 Δ funds · $15.9B+280$15.9B

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 Technology32
  • Industrials14
  • Financials8
  • Materials7
  • Health Care4
  • Other7
  • ETFs and unclassified21

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 Honeywell Aerospace
Ranks 11 to 25
Δ fundsValue
  1. 11XOMExxonMobil Holdings+221 Δ funds · $2.1B+221$2.1B
  2. 12CBRSCerebras Systems Class A+200 Δ funds · $9.8B+200$9.8B
  3. 13AMATApplied Materials+183 Δ funds · $46.9B+183$46.9B
  4. 14DELLDell Technologies -C+181 Δ funds · $9.1B+181$9.1B
  5. 15STXSeagate Technology Holdings+175 Δ funds · $19.7B+175$19.7B
  6. 16VGNTVersigent+165 Δ funds · $634.3M+165$634.3M
  7. 17TRIThomson Reuters+152 Δ funds · $608.6M+152$608.6M
  8. 18LRCXLam Research+146 Δ funds · $45.3B+146$45.3B
  9. 19WDCWestern Digital+137 Δ funds · $14.6B+137$14.6B
  10. 20PANWPalo Alto Networks+135 Δ funds · $19.7B+135$19.7B
  11. 21GLWCorning+129 Δ funds · $14.0B+129$14.0B
  12. 22NBISNebius Group NV+118 Δ funds · $12.6B+118$12.6B
  13. 23TXNTexas Instruments+117 Δ funds · $22.6B+117$22.6B
  14. 24ASNDAscendis Pharma A/s+116 Δ funds · $7.0B+116$7.0B
  15. 25FLEXFlex+115 Δ funds · $4.3B+115$4.3B
Show ranks 26 to 86
Ranks 26 to 86
Δ fundsValue
  1. 26KEELKeel Infrastructure+114 Δ funds · $469.1M+114$469.1M
  2. 27KLACKLA+99 Δ funds · $33.2B+99$33.2B
  3. 28CRWDCrowdstrike Holdings Class A+93 Δ funds · $9.7B+93$9.7B
  4. 29HPEHewlett Packard Enterprise+92 Δ funds · $5.2B+92$5.2B
  5. 30STMStmicroelectronics NV-NY SHS+88 Δ funds · $5.4B+88$5.4B
  6. 31DPCDPC Holdings+79 Δ funds · $3.1B+79$3.1B
  7. 32XEX-Energy+78 Δ funds · $2.5B+78$2.5B
  8. 33ASMLASML Holding NV-+77 Δ funds · $25.4B+77$25.4B
  9. 34BEBloom Energy Corp- A+77 Δ funds · $12.9B+77$12.9B
  10. 35QNTQuantinuum Inc-A+77 Δ funds · $612.0M+77$612.0M
  11. 36CRDOCredo Technology Group Holdi+76 Δ funds · $6.8B+76$6.8B
  12. 37FRVOFervo Energy Co-A+76 Δ funds · $1.8B+76$1.8B
  13. 38ALABAstera Labs+72 Δ funds · $7.3B+72$7.3B
  14. 39INIOInnio NV+70 Δ funds · $1.4B+70$1.4B
  15. 40WSEWise Group PLC-CL A+68 Δ funds · $548.8M+68$548.8M
  16. 41UNHUnitedHealth Group+66 Δ funds · $26.5B+66$26.5B
  17. 42RQI-RCohen & Steers Quality-R+66 Δ funds · $118K+66$118K
  18. 43TGBTrekor Metals+64 Δ funds · $537.5M+64$537.5M
  19. 44RKLBRocket Lab+61 Δ funds · $2.5B+61$2.5B
  20. 45Alphabet+61 Δ funds · $1.4B+61$1.4B
  21. 46MAIRMadison Air Solutions Corp-A+58 Δ funds · $1.5B+58$1.5B
  22. 47XOVRErshares Private-Public Cros+58 Δ funds · $296.8M+58$296.8M
  23. 48MXLMaxlinear+57 Δ funds · $978.4M+57$978.4M
  24. 49QCOMQualcomm+56 Δ funds · $16.8B+56$16.8B
  25. 50AVEXAevex Corp-CL A+56 Δ funds · $279.9M+56$279.9M
  26. 51Trulieve Cannabis+55 Δ funds · $179.3M+55$179.3M
  27. 52TRAXFirst Tracks Biotherapeutics+54 Δ funds · $309.3M+54$309.3M
  28. 53NVRIEnviri+54 Δ funds · $139.6M+54$139.6M
  29. 54SASeabridge Gold+51 Δ funds · $442.3M+51$442.3M
  30. 55Alphabet+50 Δ funds · $1.6B+50$1.6B
  31. 56OGCOceanagold+50 Δ funds · $975.2M+50$975.2M
  32. 57NOKNokia Corp-Spon ADR+49 Δ funds · $2.9B+49$2.9B
  33. 58ARMArm Holdings PLC-ADR+48 Δ funds · $6.0B+48$6.0B
  34. 59INFQInfleqtion+48 Δ funds · $406.8M+48$406.8M
  35. 60TSMTaiwan Semiconductor ADR+47 Δ funds · $87.1B+47$87.1B
  36. 61VSHVishay Intertechnology+46 Δ funds · $1.8B+46$1.8B
  37. 62CAESCantor Equity Partners VII-A+45 Δ funds · $156.6M+45$156.6M
  38. 63EROCErock Inc-A+44 Δ funds · $226.7M+44$226.7M
  39. 64CSCOCisco Systems+42 Δ funds · $22.6B+42$22.6B
  40. 65MTUMiShares Msci USA Momentum Fa+42 Δ funds · $4.0B+42$4.0B
  41. 66AADXApplied Aerospace & Defense+42 Δ funds · $192.7M+42$192.7M
  42. 67IRENIren+40 Δ funds · $2.1B+40$2.1B
  43. 68ARXSArxis Inc-A+40 Δ funds · $359.0M+40$359.0M
  44. 69LENDSei Hy Bnd&alt CRDT+40 Δ funds · $24.2M+40$24.2M
  45. 70PSUSPershing Square USA+39 Δ funds · $553.2M+39$553.2M
  46. 71AYAAya Gold & Silver+39 Δ funds · $345.0M+39$345.0M
  47. 72S&P Global+39 Δ funds · $68.1M+39$68.1M
  48. 73CATCaterpillar+38 Δ funds · $26.2B+38$26.2B
  49. 74GHXIUGores Holdings XI+38 Δ funds · $221.3M+38$221.3M
  50. 75FTNTFortinet+37 Δ funds · $5.6B+37$5.6B
  51. 76AVLNAvalyn Pharma+37 Δ funds · $740.0M+37$740.0M
  52. 77Ares Acquisition Corp III+37 Δ funds · $194.4M+37$194.4M
  53. 78EROKEaglerock Land LLC Class A+37 Δ funds · $184.0M+37$184.0M
  54. 79CGCFUCartesian Growth Corp IV+36 Δ funds · $171.4M+36$171.4M
  55. 80Super Micro Computer+35 Δ funds · $1.9B+35$1.9B
  56. 81VICRVicor+35 Δ funds · $1.0B+35$1.0B
  57. 82YICCUYorkville International Capi+35 Δ funds · $137.9M+35$137.9M
  58. 83Doordash+34 Δ funds · $987.7M+34$987.7M
  59. 84RSPTInvesco S&P 500 Equal Weight+34 Δ funds · $615.5M+34$615.5M
  60. 85HAWKHawkeye 360+34 Δ funds · $288.5M+34$288.5M
  61. 86QLEPQuantum Leap Acqui Cor-CL A+34 Δ funds · $155.5M+34$155.5M
14 ETFs and index wrappers in the top 100, listed separately

ETFs and index wrappers

Δ fundsValue
  1. 1IALTIshrs Sys Alt Act ETF+185 Δ funds · $797.7M+185$797.7M
  2. 2DRAMRoundhill Memory ETF+175 Δ funds · $948.8M+175$948.8M
  3. 3GGOViShares Global GB Usd Ha ETF+130 Δ funds · $305.1M+130$305.1M
  4. 4SOXXiShares Semiconductor ETF+111 Δ funds · $3.7B+111$3.7B
  5. 5COROIsh Intl Ctry Rot Act ETF+95 Δ funds · $1.7B+95$1.7B
  6. 6SMHVaneck Semiconductor ETF+93 Δ funds · $6.1B+93$6.1B
  7. 7NASATema Space Innovators ETF+74 Δ funds · $65.4M+74$65.4M
  8. 8BLCRiShares LRG CP CR Act ETF-Ui+73 Δ funds · $746.6M+73$746.6M
  9. 9ACYNFT Lad Autocall Bar Inc ETF+68 Δ funds · $253.9M+68$253.9M
  10. 10XLKTechnology Select Sector+67 Δ funds · $11.9B+67$11.9B
  11. 11VGTVanguard Info Tech ETF+59 Δ funds · $7.0B+59$7.0B
  12. 12BAIIshrs AI In And Tech Act ETF+53 Δ funds · $2.4B+53$2.4B
  13. 13QQQMInvesco Nasdaq 100 ETF+45 Δ funds · $6.9B+45$6.9B
  14. 14QTUMDefiance Quantum ETF+37 Δ funds · $480.8M+37$480.8M

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.

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

More stock boardsConsensus longsCluster buysCluster exitsNew positionsLargest buysAverage weightAll leaderboards