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Most Owned Stocks 2

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This is a ValueWiki ranking of stocks owned by the most Funds.
This data is culled from the the top 25 holdings of all US Funds.
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264. Central Garden & Pet Company: 88

264. F5 Networks, Inc.: 88

264. FRONTIER OIL CP: 88

264. KLA: 88

264. M G M MIRAGE: 88

264. MFS Research International Fund: 88

264. MFS Series Trust I: 88

264. WEYERHAEUSER CO: 88

265. American Power Conversion Corporation: 87

265. APT INV & MNGMNT CO: 87

265. ELECTRONIC DATA SYS: 87

265. FTI CONSULTING INC: 87

265. I T T CORPORATION: 87

265. INTERPUBLIC GROUP: 87

265. PETsMART, Inc.: 87

265. PLATINUM UNDERWRITRS: 87

265. SYBASE INC: 87

265. U S T INC: 87

266. ALBEMARLE CP: 86

266. Gymboree Corporation (The): 86

266. HELIX ENERGY SOLUTNS: 86

266. INTNTL SEC EXCHANGE: 86

266. SOUTHERN UNION CO: 86

267. BALL CP: 85

267. Bed Bath & Beyond Inc.: 85

267. CENTURYTEL INC: 85

267. Microsemi Corporation: 85

267. NEWELL RUBBERMAID: 85

267. NICE: 85

268. Avocent Corporation: 84

268. Fiserv, Inc.: 84

268. HEINZ H J CO: 84

268. INVESTMENT TEC NEW: 84

268. MILLIPORE CP: 84

268. PDL BioPharma, Inc.: 84

268. RH DONNELLEY NEW: 84

268. SIERRA HEALTH SVS: 84

269. AGILENT TECH INC: 83

269. Amylin Pharmaceuticals, Inc.: 83

269. ArthroCare Corporation: 83

269. CMS ENERGY CP: 83

269. IDEX CP: 83

269. MANOR CARE NEW: 83

269. MARSHALL & ILSLEY: 83

269. Novellus Systems, Inc.: 83

269. WHIRLPOOL CP: 83

270. CORN PRODUCTS INTL: 82

270. FLUOR CP (NEW): 82

270. HERCULES INC: 82

270. OWENS ILLINOIS: 82

270. Transaction Systems Architects , Inc.: 82

271. AIRGAS INC: 81

271. CYTEC IND INC: 81

271. FIRSTFED FIN CP: 81

271. GAP INC: 81

271. KENNAMETAL INC: 81

271. Knight Capital Group, Inc.: 81

271. OLD REPUBLIC INTL CP: 81

271. WOLVERINE WORLDWIDE: 81

272. FMC TECHNOLOGIES INC: 80

272. GUESS INC.: 80

272. Hansen Natural Corporation: 80

272. Hudson City Bancorp, Inc.: 80

272. Intuitive Surgical, Inc.: 80

272. Investors Financial Services Corp.: 80

272. Invitrogen Corporation: 80

272. JACOBS ENGINEERNG GP: 80

272. Nasdaq Stock Market, Inc. (The): 80

272. SCOTTS MIRACLE: 80

272. UNITED DOMIN RLTY TR: 80

273. BIOMED REALTY TRUST: 79

273. DENTSPLY International Inc.: 79

273. inVentiv Health, Inc.: 79

273. LIBERTY PROPERTIES: 79

273. SEI Investments Company: 79

273. SOUTHERN CO: 79

273. Steel Dynamics, Inc.: 79

273. Time Warner Telecom Inc.: 79

274. ALLIANT TECH SYS INC: 78

274. ASPEN INSURANCE HLDG: 78

274. NEWS CORP: 78

274. Philadelphia Consolidated Holding Corp.: 78

274. RealNetworks, Inc.: 78

274. Xilinx, Inc.: 78

275. CAMECO CP: 77

275. NATIONWIDE HLTH PROP: 77

275. RR DONNELLEY SONS: 77

275. Vertex Pharmaceuticals Incorporated: 77

275. WESTAR ENERGY INC: 77

276. CULLEN FROST BNKRS: 76

276. INDYMAC BNCP INC: 76

276. Lincoln Electric Holdings, Inc.: 76

276. Whole Foods Market, Inc.: 76

276. WRIGHT EXPRESS CORP: 76

277. ADVANCED MED OPTICS: 75

277. Allscripts Healthcare Solutions Inc: 75

277. CONS ENERGY INC: 75

277. DJO INCORPORATED: 75

277. ECOLAB INC: 75

277. Euronet Worldwide, Inc.: 75

277. Fastenal Company: 75

277. MFS Research Bond Fd Cl I: 75

277. SUPERIOR ENERGY SV: 75

277. UNILEVER N V N Y: 75

278. AMER STANDARD CO INC: 74

278. DEAN FOODS CO: 74

278. HARSCO CP: 74

278. LifeCell Corporation: 74

278. N V R L P: 74

278. O'Reilly Automotive, Inc.: 74

278. TAIWAN SEMICOND ADS: 74

278. UNUMPROVIDENT CP: 74

278. Wynn Resorts, Limited: 74

279. ACTUANT CORP NEW: 73

279. ANSYS, Inc.: 73

279. B M C SOFTWARE: 73

279. CARLISLE COS INC: 73

279. MOLSON COORS CO CL B: 73

279. optionsXpress Holdings, Inc.: 73

279. OSI Pharmaceuticals Inc.: 73

279. Penn National Gaming, Inc.: 73

279. WATERS CP: 73

279. WILLIS GROUP HOLDING: 73

280. CABLEVISION SYSTEM: 72

280. CIMAREX ENERGY CO: 72

280. Electronics for Imaging, Inc.: 72

280. GANNETT CO INC: 72

280. Herman Miller, Inc.: 72

280. Hub Group, Inc.: 72

280. IDEXX Laboratories, Inc.: 72

280. MIRANT CORP: 72

280. PARTNERRE LTD: 72

280. Rent: 72

280. TELVISA S.A.: 72

280. TIFFANY AND CO: 72

280. TOYOTA MTR CP ADS: 72

281. ALLIANCEBERNSTEIN: 71

281. Brocade Communications Systems, Inc.: 71

281. CENTEX CP: 71

281. Cintas Corporation: 71

281. CONSECO INC NEW: 71

281. CYPRESS SEMICONDUCTR: 71

281. DEL MONTE FOODS CO: 71

281. FAMILY DOLLAR STORES: 71

281. FULLER H B CO: 71

281. JABIL CIRCUIT INC: 71

281. KING PHARMACEUTICALS: 71

281. PINNACLE ENTERTAINMT: 71

282. CHARLES RIVER LAB: 70

282. CONTL AIRLINES CL B: 70

282. LifePoint Hospitals, Inc.: 70

282. POST PROPERTIES: 70

282. PULTE HOMES, INC.: 70

282. RANGE RES CORP: 70

282. REINSURANCE GP AMER: 70

282. TESORO CORP: 70

282. ZENITH NATL INS CP: 70

283. MARKEL CP HLDG CO: 69

283. MONEYGRAM INTL: 69

283. OMNICARE INC: 69

283. SOUTHWEST AIRLINES: 69

283. Synopsys, Inc.: 69

283. UCBH Holdings, Inc.: 69

283. WABTEC CORP: 69

283. WADDELL&REED FIN INC: 69

284. BROOKFIELD ASSET MGT: 68

284. Diodes Incorporated: 68

284. G A T X CP: 68

284. KILROY REALTY CP: 68

284. Select Comfort Corporation: 68

285. APPLERA CORP: 67

285. ARROW ELCTS: 67

285. ASML Holding N.V.: 67

285. AUTOZONE INC: 67

285. DIEBOLD INC: 67

285. GROUP 1 AUTOMOTIVE: 67

285. LIMITED BRANDS INC: 67

285. MSC INDUSTRIAL DRCT: 67

285. PROGRESSIVE CP: 67

285. SOVEREIGN BANCORP: 67

285. TYSON FOODS INC CL A: 67

285. U G I CP: 67

285. XCEL ENERGY INC: 67

286. CANADIAN NAT RES: 66

286. Cognos Incorporated: 66

286. EATON CP: 66

286. Flextronics International Ltd.: 66

286. MACK: 66

286. MFS Mid Cap Growth Fund: 66

286. MFS Mid Cap Value Fund: 66

286. OFFICEMAX INC.: 66

286. ONEOK INC NEW: 66

286. PROASSURANCE CORP: 66

286. SIEMENS A G ADR: 66

286. THOMAS BETTS CP: 66

287. ARCH COAL INC: 65

287. Cadence Design Systems, Inc.: 65

287. Comtech Telecommunications Corp.: 65

287. CSG Systems International, Inc.: 65

287. D R HORTON INC: 65

287. EATON VANCE CP: 65

287. JEFFERIES GROUP INC: 65

287. LANDAMERICA FINL GRP: 65

287. THE MENS WEARHOUS: 65

288. ARMOR HLDGS INC: 64

288. B R E PROP INC: 64

288. CABOT OIL GAS CP: 64

288. CDW Corporation: 64

288. COMPUTER SCIENCES CP: 64

288. CONSTELLATION BRD A: 64

288. Foster Wheeler Ltd.: 64

288. GREENHILL & CO: 64

288. NATL SEMICONDUCTOR: 64

288. SOTHEBYS: 64

288. THE NEW D&B CORP: 64

288. W M S INDS INC: 64

288. Washington Group International, Inc.: 64

289. CAMPBELL SOUP CO: 63

289. Casey's General Stores, Inc.: 63

289. Infosys Technologies Limited: 63

289. NEWCASTLE INV CP: 63

289. SALESFORCE.COM INC: 63

289. TELUS CORP: 63

289. UNIT CP: 63

290. ATLANTA GAS LIGHT: 62

290. Ceradyne, Inc.: 62

290. COMMERCIAL METALS CO: 62

290. ISTAR FINL INC: 62

290. LASALLE HOTEL PROP: 62

290. NCI BLDG SYS INC: 62

290. OREGON STEEL MILLS: 62

290. PUB ENTRPR GP: 62

290. ROBERT HALF INTL INC: 62

290. ROGERS COMMUN CL B: 62

290. TAUBMAN CENTERS INC: 62

290. TRAMMELL CROW CO: 62

290. WEST PHARMA SVCS INC: 62

290. WESTERN DIGITAL CP: 62

291. Advisory Board Company (The): 61

291. AGCO CP: 61

291. Charming Shoppes, Inc.: 61

291. COMMUNITY HEALTH: 61

291. Entegris, Inc.: 61

291. Global Imaging Systems, Inc.: 61

291. HIGHWOODS PRPTY INC: 61

291. NABORS INDS INC NEW: 61

291. Sigma: 61

291. WORLD FUEL SVCS CP: 61

292. ANNALY CAPITAL MANAG: 60

292. Avid Technology, Inc.: 60

292. Cubist Pharmaceuticals, Inc.: 60

292. DIAMOND OFFSHORE DRL: 60

292. FOREST CITY ENT CL A: 60

292. GENUINE PARTS CO: 60

292. Human Genome Sciences, Inc.: 60

292. Immucor, Inc.: 60

292. REGAL BELOITE CP: 60

292. Sepracor Inc.: 60

292. Techne Corporation: 60

292. UNIVERSAL HLTH SVC B: 60

292. VeriSign, Inc.: 60

292. WINDSTREAM CORP: 60

292. Zebra Technologies Corporation: 60

293. American Medical Systems Holdings, Inc.: 59

293. AMERICAN REPRO CO: 59

293. AXIS CAP HLDGS LTD: 59

293. C B L & ASSOC PRP: 59

293. CAPITALSOURCE INC: 59

293. CARTER'S INC: 59

293. CORE LABS NV: 59

293. FELCOR LODGING TR: 59

293. Garmin Ltd.: 59

293. Laureate Education, Inc.: 59

293. LKQ Corporation: 59

293. United Natural Foods, Inc.: 59

294. ALLIED WASTE IND INC: 58

294. ANALOG DEVICES: 58

294. BARR PHARMA INC: 58

294. BROWN & BROWN INC: 58

294. CEMEX SAB DE CV ADR: 58

294. CLAIRES STORE INC: 58

294. D P L INC: 58

294. FIRST AMER CORP: 58

294. FIRST IND RLTY INC: 58

294. Healthways, Inc.: 58

294. LENNAR CP CL A: 58

294. Portfolio Recovery Associates, Inc.: 58

294. SHAW GROUP INC: 58

294. SUPERVALU INC: 58

294. SVB Financial Group: 58

295. Affymetrix, Inc.: 57

295. BECKMAN COULTER INC: 57

295. Cymer, Inc.: 57

295. ENCANA CORP: 57

295. HEALTH NET INC: 57

295. HERBALIFE LTD.: 57

295. Informatica Corporation: 57

295. John Hancock Funds II Equity Income Fund NAV Class: 57

295. John Hancock Funds II Fundamental Value Fund NAV Class: 57

295. John Hancock Funds II International Value Fund NAV Class: 57

295. MicroStrategy Incorporated: 57

295. ON Semiconductor Corporation: 57

295. priceline.com Incorporated: 57

296. ALLIANT ENERGY CP: 56

296. ANNTAYLOR STORES CP: 56

296. CADBURY SCH PLC: 56

296. COMERICA INC: 56

296. GRACO INC: 56

296. GRANITE CONSTRUC INC: 56

296. GREY WOLF INC: 56

296. HANOVER INS GROUP: 56

296. HILB ROGAL HOBBS: 56

296. HOLLY CP: 56

296. LYONDELL CHEM CO: 56

296. MPS GROUP INC: 56

296. N B T Y INC: 56

296. P P G IND: 56

296. THOR INDS INC: 56

296. VULCAN MATERIALS CO: 56

296. WRIGLEY WM JR CO: 56

297. BLACK DECKER CP: 55

297. COLONIAL BANCGROUP: 55

297. DOLLAR THRIFTY AUTO: 55

297. Fidelity Advisor High Income Advantage Class I: 55

297. Fidelity Advisor Institutional Equity Income Portfolio: 55

297. Fidelity Advisor Institutional Equity Portfolio: 55

297. Fidelity Advisor Series I, Fidelity Advisor Dividend Growth Fd I: 55

297. Fidelity Advisor Series I: Fidelity Advisor Growth & Inc Fd Inst: 55

297. Fidelity Advisor Series I: Fidelity Advisor Large Cap Fund Cl I: 55

297. Fidelity Advisor Series I: Fidelity Advisor Mid Cap Fund Cl I: 55

297. Fidelity Advisor Series I: Fidelity Advisor Small Cap Fund: Inst: 55

297. HEXCEL CP DELAWARE: 55

297. Huron Consulting Group Inc.: 55

297. IKON OFFICE SOLUT: 55

297. INGRAM MICRO A: 55

297. JONES APPAREL GP INC: 55

297. LAIDLAW INTL INC: 55

297. Steiner Leisure Limited: 55

298. AMEREN CP: 54

298. AMERIGROUP CORP: 54

298. AVNET INC: 54

298. CHGO BRIDGE & IRON: 54

298. ESCO TECH INC: 54

298. ESTEE LAUDER COS INC: 54

298. First Midwest Bancorp, Inc.: 54

298. Liberty Global, Inc.: 54

298. Mobile Mini, Inc.: 54

298. NATIONAL FINL PTNRS: 54

298. PACTIV CORP: 54

298. PROGRESS ENERGY INC: 54

298. Red Robin Gourmet Burgers, Inc.: 54

298. SARA LEE CP: 54

299. AFFILIATED COMP SVCS: 53

299. ALASKA AIR GROUP INC: 53

299. AMER HOME MTG INVT: 53

299. AVAYA INC: 53

299. BRINKS COMPANY: 53

299. DST SYSTEMS INC: 53

299. FEDERATED INV INC: 53

299. Gentex Corporation: 53

299. John Hancock Funds II Blue Chip Growth Fund NAV Class: 53

299. John Hancock Funds II U.S. Multi Sector Fund NAV Class: 53

299. John Hancock Funds III International Core NAV Class: 53

299. Macrovision Corporation: 53

299. MEADWESTVACO CORP: 53

299. MFS Intermediate Investment Grade Bond Fund Class I: 53

299. MFS Intl New Discovery Fd Cl I: 53

299. Nestle SA Sponsored ADR representing Registered Shares Series B: 53

299. NYSE GROUP INC.: 53

299. OM GROUP INC: 53

299. PALL CP: 53

299. PIPER JAFFRAY COS: 53

299. PNM RES INC (HLDG): 53

299. SOUTHERN COPPER CORP: 53

299. SYNOVUS FINL CP: 53

299. UNITED STATES STEEL: 53

299. VAIL RESORTS INC: 53

300. CHURCH DWIGHT CO INC: 52

300. EL PASO CORPORATION: 52

300. GREIF INC CL A: 52

300. PRIDE INTL INC: 52

300. PSS World Medical Inc.: 52

300. Tower Group, Inc.: 52

300. U R S CP: 52

300. World Acceptance Corporation: 52

301. AMER FIN GRP HLD: 51

301. AMERICREDIT CP: 51

301. Digene Corporation: 51

301. FOOT LOCKER INC: 51

301. OCEANEERING INTL INC: 51

301. Per: 51

301. Principal Investors Fd Inc: 51

301. Principal Investors Fd Inc: 51

301. Principal Investors Fd Inc Bond & Mortgage Securities Fd Instl S: 51

301. Principal Investors Fd Inc International Growth Fd Instil Shs: 51

301. Principal Investors Fd Inc Partners LargeCap Value Fd Instl Shs: 51

301. Principal Investors Fd, Inc. SmallCap S&P 500 Index Fd Insti Shs: 51

301. Principal Investors Fund, Inc.: 51

301. Principal Investors Fund, Inc.: 51

301. Principal Investors Fund, Inc.: 51

301. Ross Stores, Inc.: 51

301. SRA INTERNATIONAL: 51

302. 3Com Corporation: 50

302. BRADY CP CL A: 50

302. CANADIAN NATL RAILWY: 50

302. CIRCUIT CITY STRS: 50

302. Emdeon Corporation: 50

302. EMULEX CORP: 50

302. Fidelity Advisor Institutionsl Limited Term Bond: 50

302. Fidelity Advisor Series VII: Fidelity Advisor Overseas Fund Cl I: 50

302. Fidelity Advisor Series VIII Fidelity Advisor Diversified Intl F: 50

302. Fidelity Advisor Strategic Real Return Fund Insti Class: 50

302. FLOWSERVE CP: 50

302. Foundry Networks, Inc.: 50

302. Hain Celestial Group, Inc. (The): 50

302. JACKSON HEWITT TAX: 50

302. KAYDON CP: 50

302. Nuance Communications, Inc.: 50

302. PAYLESS SHOESRCE: 50

302. PF AllianceBernstein International Value Fund Class A: 50

302. PF Janus Growth LT Fund Class A: 50

302. PF Lazard Mid: 50

302. PF Loomis Sayles Large: 50

302. PF MFS International Large: 50

302. PF Salomon Brothers Large: 50

302. PF Van Kampen Comstock Fund Class A: 50

302. ROYAL CARIBBEAN CR: 50

302. SkyWest, Inc.: 50

302. Ventana Medical Systems, Inc.: 50

303. ASSURED GUARANTY LTD: 49

303. Digital Insight Corporation: 49

303. KNOLL, INC: 49

303. M&T BANK CORP: 49

303. MID AMER APT COMMUN: 49

303. NAVIGANT CONSULT INC: 49

303. STANCORP FINCL GRP: 49

303. STATION CASINOS: 49

303. SUNOCO INC: 49

303. SWIFT ERGY (HLDG CO): 49

303. Take: 49

303. TEMPUR: 49

303. WEIGHT WATCHERS INTL: 49

304. C A C I INTL CL A: 48

304. CERIDIAN CP (NEW): 48

304. LIZ CLAIBORNE INC: 48

304. MASSEY ENERGY CO: 48

304. MFS Series Trust III MFS High Income Fund I: 48

304. NCR CP: 48

304. NORTEL NTWKS CP HLDG: 48

304. Ohio Casualty Corporation: 48

304. Opsware, Inc.: 48

304. QUANTA SERVICES INC: 48

304. REGIONS FINANCIAL CP: 48

304. SABRE HLDGS CORP: 48

304. WHITING PETE CORP: 48

305. AARON RENTS INC SC: 47

305. ASTORIA FINL CORP: 47

305. BAUSCH LOMB INC: 47

305. Biomet, Inc.: 47

305. GEO GROUP INC (THE): 47

305. H R BLOCK INC: 47

305. HASBRO INC: 47

305. John Hancock Funds II Global Bond Fund NAV Class: 47

305. John Hancock Funds II High Yield Fund NAV Class: 47

305. John Hancock Funds II Real Return Bond Fund NAV Class: 47

305. John Hancock Funds II Spectrum Income Fund NAV Class: 47

305. John Hancock Funds II Total Return Fund NAV Class: 47

305. NAVTEQ CORP: 47

305. RC2 Corporation: 47

305. SPARTECH CP: 47

305. TORO CO: 47

306. Atheros Communications, Inc.: 46

306. ATMOS ENERGY CP: 46

306. AUTOLIV INC: 46

306. CLEVELAND CLIFFS: 46

306. DARDEN RESTAURANTS: 46

306. ENTERTAINMT PPTY SBI: 46

306. IMATION CP: 46

306. IPC Holdings, Limited: 46

306. KANSAS CITY SOUTHERN: 46

306. M G I C INVEST CP: 46

306. Patterson: 46

306. Performance Food Group Company: 46

306. RITCHIE BROS AUCTION: 46

306. SIERRA PACIFIC RES: 46

306. TRINITY IND: 46

306. United Therapeutics Corporation: 46

306. Urban Outfitters, Inc.: 46

306. W: 46

307. ALBANY INTL CP CL A: 45

307. BANK OF HAWAII CP: 45

307. Business Objects S.A.: 45

307. CITIZEN COMM CO: 45

307. COMPASS MINERALS INT: 45

307. CRANE CO: 45

307. HOME PPTYS INC: 45

307. OGE ENERGY CP: 45

307. OWENS AND MINOR INC: 45

307. PEROT SYSTEMS CP: 45

307. RYDER SYSTEM INC: 45

307. Sciele Pharma, Inc.: 45

307. SEALED AIR CP NEW: 45

307. SUNSTONE HOTEL INV: 45

307. Wright Medical Group, Inc.: 45

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