Most Owned Stocks 3
From ValueWiki
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.
308. Alkermes, Inc.: 44
308. BJ'S WHLSL CLUB INC: 44
308. BORG WARNER INC: 44
308. Chaparral Steel Company: 44
308. DILLARD'S INC: 44
308. Dollar Tree Stores, Inc.: 44
308. DRIL QUIP INC: 44
308. GAYLORD ENT CO NEW: 44
308. GEN MOTORS: 44
308. HEALTHCARE PROP: 44
308. INGERSOLL RAND LTD A: 44
308. International Speedway Corporation: 44
308. Itron, Inc.: 44
308. KORN FERRY INTL: 44
308. QLogic Corporation: 44
308. RF Micro Devices, Inc.: 44
308. ROHM HAAS CO: 44
308. TEKTRONIX INC: 44
308. TRIBUNE CO: 44
308. Whitney Holding Corporation: 44
309. BioMarin Pharmaceutical Inc.: 43
309. Bright Horizons Family Solutions Inc.: 43
309. Compass Bancshares, Inc.: 43
309. Conceptus, Inc.: 43
309. CROWN HOLDINGS INC: 43
309. DELTA & PINE: 43
309. DIGITAL REALTY TRUST: 43
309. DOLLAR GENERAL CP: 43
309. DUKE REALTY CP: 43
309. First Niagara Financial Group Inc.: 43
309. HEWITT ASSOC INC A: 43
309. HOSPITALITY PROP TR: 43
309. John Hancock Funds II Core Equity Fund NAV Class: 43
309. MAGUIRE PROPERTIES: 43
309. Mentor Graphics Corporation: 43
309. MUELLER IND INC: 43
309. MURPHY OIL CP HLDG: 43
309. PINNACLE WEST CAP: 43
309. RELIANCE STL & ALMN: 43
309. TELEDYNE TECH INC: 43
309. VODAFONE GRP PLC ADS: 43
310. A G EDWARDS HOLDING: 42
310. APTAR GROUP INC: 42
310. ATMI Inc.: 42
310. BAYER AKTIENGES ADS: 42
310. Century Aluminum Company: 42
310. CHRISTOPHER: 42
310. COCA COLA ENTRPR INC: 42
310. Guitar Center, Inc.: 42
310. HOSPIRA INC: 42
310. INTL RECTIFIER: 42
310. JetBlue Airways Corporation: 42
310. KIRBY CORPORATION: 42
310. Leap Wireless International, Inc.: 42
310. Lincare Holdings Inc.: 42
310. Netflix, Inc.: 42
310. ORBITAL SCIENCES CP: 42
310. PIEDMONT NAT GAS CO: 42
310. XM Satellite Radio Holdings Inc.: 42
311. ADVANTA Corp.: 41
311. ALBERTO CULVER CO: 41
311. Compuware Corporation: 41
311. FOUR SEASONS HOTEL: 41
311. Magellan Health Services, Inc.: 41
311. NISOURCE INC HLDG CO: 41
311. PLAINS EXPL&PROD: 41
311. SENIOR HSG SBI: 41
311. SiRF Technology Holdings, Inc.: 41
311. Varian, Inc.: 41
311. WHITE MTN INS LTD: 41
311. Woodward Governor Company: 41
312. Alexion Pharmaceuticals, Inc.: 40
312. CARMAX INC: 40
312. Central European Media Enterprises Ltd.: 40
312. DEVRY INC: 40
312. EASTMAN CHEM CO: 40
312. EchoStar Communications Corporation: 40
312. EQUIFAX INC: 40
312. FOREST OIL CP (NEW): 40
312. KNIGHT TRANS INC: 40
312. Ladish Co., Inc.: 40
312. MONTANTA DAKOTA UTIL: 40
312. MOOG INC CL A: 40
312. OIL STATES INTL INC: 40
312. PF Goldman Sachs Short Duration Bond Fund Cl A: 40
312. PF NB Fasciano Small Equity Fund Class A: 40
312. PF PIMCO Inflation Managed Fund Class A: 40
312. PF PIMCO Managed Bond Fund Class A: 40
312. PF Van Kampen Mid: 40
312. PolyMedica Corporation: 40
312. POTASH CP SASKATCHEW: 40
312. PROTECTIVE LIFE CORP: 40
312. ST JOE CO (THE): 40
313. Amedisys Inc: 39
313. Arris Group Inc: 39
313. BankUnited Financial Corporation: 39
313. BROWN SHOE CO INC: 39
313. CoStar Group, Inc.: 39
313. Insight Enterprises, Inc.: 39
313. Intersil Corporation: 39
313. INVERNESS MED INNOVA: 39
313. LUBRIZOL CP: 39
313. NovAtel Inc.: 39
313. People's Bank: 39
313. PLUM CREEK TIM REIT: 39
313. RALCORP HOLDINGS INC: 39
313. RENAISSANCERE LTD: 39
313. The Providence Service Corporation: 39
313. VALSPAR CORP: 39
313. ZALE CP: 39
314. Advanced Energy Industries, Inc.: 38
314. BB&T CP: 38
314. Blackboard Inc.: 38
314. Brooks Automation, Inc.: 38
314. CHICO'S F A S INC: 38
314. Frank Russell Investment Company Diversified Equity Fund Class S: 38
314. Frank Russell Investment Company International Securities Fund C: 38
314. Frank Russell Investment Company Quantitative Equity Fund Class: 38
314. Frank Russell Investment Company Real Estate Securities Fund Cla: 38
314. HealthExtras, Inc.: 38
314. HELMERICH PAYNE: 38
314. J.B. Hunt Transport Services, Inc.: 38
314. MYLAN LABS INC: 38
314. NATIONWIDE FIN SVCS: 38
314. NTL Incorporated: 38
314. PFF BANCORP INC: 38
314. RECKSON ASSOC RLTY: 38
314. RUBY TUESDAY INC: 38
314. STRATEGIC HOTELS INC: 38
314. TORCHMARK CP: 38
315. ACCO BRANDS CORP: 37
315. AMN HEALTHCARE SVCS: 37
315. ATWOOD OCEANICS INC: 37
315. BISYS GROUP INC: 37
315. F M C CP: 37
315. FAIR ISAAC INC: 37
315. GALLAGHER ARTHUR J: 37
315. ICON plc: 37
315. InterDigital Communications Corp.: 37
315. ISHARES MSCI EAFE FD: 37
315. Old Dominion Freight Line, Inc.: 37
315. P.F.Chang's China Bistro, Inc.: 37
315. PACKAGING CP AMER: 37
315. PRINCIPAL FINL GROUP: 37
315. Rofin: 37
315. ROGERS CP: 37
315. SkillSoft plc: 37
315. Smurfit: 37
315. TD Ameritrade Holding Corporation: 37
315. TECHNITROL INC: 37
315. TEMPLE INLAND INC: 37
315. THE HERSHEY COMPANY: 37
315. TIDEWATER INC: 37
315. UAP Holding Corp.: 37
315. Ultimate Software Group, Inc. (The): 37
315. VIMPEL COMMUN: 37
315. WATTS WATER TECH A: 37
316. AEROPOSTALE INC: 36
316. American Capital Strategies, Ltd.: 36
316. AMVESCAP PLC: 36
316. Blackbaud, Inc.: 36
316. CENTENE CORP: 36
316. EL PASO ELECTRIC CO: 36
316. Forward Air Corporation: 36
316. HANOVER COMP HLDG CO: 36
316. Interface, Inc.: 36
316. John Hancock Funds II International Opportunities Fund NAV Class: 36
316. John Hancock Funds II Natural Resources Fund NAV Class: 36
316. John Hancock Funds II Strategic Bond Fund NAV Class: 36
316. John Hancok Fds II, High Income Fund NAV Class: 36
316. NORTHEAST UTIL: 36
316. NuVasive, Inc.: 36
316. Pantry, Inc. (The): 36
316. RPM INTL INC: 36
316. SEACOR HOLDINGS INC: 36
316. TALISMAN ENERGY INC: 36
316. WASHINGTN POST CO B: 36
316. WEINGARTEN RLTY SBI: 36
317. A A R CP: 35
317. APPLIED IDNS TECH: 35
317. Arkansas Best Corporation: 35
317. bebe stores, inc.: 35
317. Career Education Corporation: 35
317. Cheesecake Factory Incorporated (The): 35
317. CLECO CP(HLDG CO): 35
317. Corinthian Colleges, Inc.: 35
317. E W SCRIPPS CL A: 35
317. ELAN CP PLC ADR: 35
317. FLORIDA EAST COAST: 35
317. Heartland Express, Inc.: 35
317. HUBBELL INC B: 35
317. Medarex, Inc.: 35
317. NATL FUEL GAS CO: 35
317. NETGEAR, Inc.: 35
317. Principal Investors Fd, Inc. Partners SmallCap Growth Fd III Ins: 35
317. Principal Investors Fd, Inc. SmallCap Value Fd ( Insti Shs): 35
317. RTI INTL METALS INC: 35
317. S P X CP: 35
317. SATYAM COMPUTER SERV: 35
317. Sonic Corp.: 35
317. SOUTHWEST GAS CP: 35
317. TELEFLEX INC: 35
317. US AIRWAYS GROUP INC: 35
318. ABB LTD: 34
318. AGNICO EAGLE MINES: 34
318. CITY NATL CP: 34
318. CORUS Bankshares, Inc.: 34
318. CRA International,Inc.: 34
318. DONALDSON CO INC: 34
318. First Community Bancorp: 34
318. FLOWERS FOODS INC: 34
318. GENESEE: 34
318. Healthcare Services Group, Inc.: 34
318. JANUS CAP GP CMN STK: 34
318. Kronos Incorporated: 34
318. OVERSEAS SHIPHDLG: 34
318. Pacer International, Inc.: 34
318. PEOPLES ENERGY CP: 34
318. Power Integrations, Inc.: 34
318. Power Integrations, Inc.: 34
318. REALTY INCOME CP: 34
318. REDWOOD TR INC: 34
318. REGAL ENTERTAINMENT: 34
318. SERVICEMASTER CO COM: 34
318. Shuffle Master, Inc.: 34
318. STANLEY WORKS THE: 34
318. TITANIUM METALS CORP: 34
318. TUPPERWARE BRANDS CP: 34
318. VIASYS HEALTHCARE: 34
319. Celadon Group, Inc.: 33
319. Ciena Corporation: 33
319. Cogent Communications Group, Inc.: 33
319. EGL, Inc.: 33
319. Frank Russell Investment Company Special Growth Fund Class S: 33
319. FURNITURE BRNDS INTL: 33
319. Hibbett Sporting Goods, Inc.: 33
319. INTERMEC INC: 33
319. KEYSPAN CORP: 33
319. MOVADO GROUP INC: 33
319. Oplink Communications, Inc.: 33
319. Quality Systems, Inc.: 33
319. ROWAN COS INC: 33
319. Sterling Financial Corporation: 33
319. TEXAS IND: 33
319. Theravance, Inc.: 33
319. TRIAD HOSPITALS INC: 33
319. UNITED AUTO GRP INC: 33
319. Witness Systems, Inc.: 33
320. Beacon Roofing Supply, Inc.: 32
320. BERRY PETROLEUM CO A: 32
320. Boston Private Financial Holdings, Inc.: 32
320. COVANTA HLD CP: 32
320. CRESCENT RL EST EQTY: 32
320. FAIRCHILD SEMI INTL: 32
320. FIRST REPUBLIC BANK: 32
320. Hartford Capital Appreciation Fund Class Y: 32
320. Hartford Disciplined Equity Fund Class Y: 32
320. Hartford Global Leaders Fund Class Y: 32
320. Hartford International Opportunities Fund Class Y: 32
320. Hartford Select MidCap Value Fund Class Y: 32
320. Hartford Small Company Fund Class Y: 32
320. HIGHLAND HOSPITALITY: 32
320. HILLENBRAND IND: 32
320. IPSCO INC: 32
320. John Hancock Funds II International SmallCap Fund NAV Class: 32
320. John Hancock Funds II Value & Restructuring Fund NAV Class: 32
320. Millennium Pharmaceuticals, Inc.: 32
320. N J RESOURCES CP: 32
320. PENN VIRGINIA CP: 32
320. Perrigo Company: 32
320. RADIOSHACK CORP: 32
320. Selective Insurance Group, Inc.: 32
320. Silgan Holdings, Inc.: 32
320. Stellent, Inc.: 32
320. Tech Data Corporation: 32
320. TELEFONOS DE MEX L: 32
320. TERADYNE INC: 32
320. The Hartford Equity Income Fund Class Y: 32
320. The Hartford International Capital Appreciation Fund Class Y: 32
320. The Hartford International Small Company Fund Class Y: 32
320. The Hartford Mid Cap Value Fund Class Y: 32
320. The Hartford Select Midcap Growth Fund Class Y: 32
320. TIMKEN CO: 32
320. Triad Guaranty Inc.: 32
321. [[ALE|]]: 31
321. ADESA INC: 31
321. AVISTA CORP: 31
321. BLACKROCK INC: 31
321. Eclipsys Corporation: 31
321. HSBC HLDGS PLC ADS: 31
321. INPUT OUTPUT INC: 31
321. MARVEL ENTERPRISES: 31
321. Mercantile Bankshares Corporation: 31
321. MFS Series Trust I MFS New Discovery Fd Cl I: 31
321. NSTAR: 31
321. Oppenheimer Main Street Fund Class Y: 31
321. Panera Bread Company: 31
321. QUIKSILVER CP: 31
321. RAIT INVESTMENT TRUS: 31
321. Steven Madden, Ltd.: 31
321. TALBOTS INC: 31
321. Tractor Supply Company: 31
321. TWEEN BRANDS INC: 31
322. ADTRAN, Inc.: 30
322. AIM Intermational Core Equity Fund: 30
322. CHOICEPOINT INC: 30
322. CLARCOR INC: 30
322. Epicor Software Corporation: 30
322. FORD MOTOR CO: 30
322. Franklin Electric Co., Inc.: 30
322. Gartmore Bond Index Fund: 30
322. Gartmore International Index Fund: 30
322. Gartmore Mid Cap Market Fund: 30
322. Gartmore S&P 500 Index Fund Institutional Shares: 30
322. HORNBECK OFFSHR SRVS: 30
322. ING VP Index PI Large Cap I: 30
322. ING VP Intermediate Bd I: 30
322. KINDER MORGAN MNGMNT: 30
322. L S I LOGIC CP: 30
322. LENNOX INTL INC: 30
322. LEXINGTON CP PTY TR: 30
322. MCCORMICK & CO: 30
322. NALCO HOLDING CO.: 30
322. O M I CP NEW: 30
322. Omnicell, Inc.: 30
322. Palomar Medical Technologies, Inc.: 30
322. PAREXEL International Corporation: 30
322. PENTAIR INC: 30
322. PEPCO HOLDINGS INC: 30
322. PF Van Kampen Real Estate Fund Cl A: 30
322. Quest Software, Inc.: 30
322. ROLLINS INC: 30
322. ScanSource, Inc.: 30
322. United Fire & Casualty Company: 30
322. Wintrust Financial Corporation: 30
323. CENVEO INC: 29
323. CHEMED CORP: 29
323. Coherent, Inc.: 29
323. COMPANHIA VALE ADS: 29
323. DOMINOS PIZZA INC: 29
323. EDWARDS LIFESCIENCES: 29
323. EMBRAER EMPRESA BR: 29
323. EMS Technologies, Inc.: 29
323. Kforce, Inc.: 29
323. LEUCADIA NATL CP: 29
323. McCormick & Schmick's Seafood Restaurants, Inc.: 29
323. NEW YORK CMMTY BNC##: 29
323. R L I CP: 29
323. ROCK: 29
323. RYLAND GROUP INC: 29
323. SAKS INC: 29
323. Scholastic Corporation: 29
323. SERVICE CP INTL: 29
323. STEELCASE INC: 29
323. Sykes Enterprises, Incorporated: 29
323. TODCO: 29
323. U: 29
323. YRC Worldwide, Inc.: 29
324. Alabama National BanCorporation: 28
324. ALERIS INTERNATIONAL: 28
324. AMER GREETINGS CL: 28
324. ARBOR REALTY TR: 28
324. AVERY DENNISON CP: 28
324. CABELAS INC: 28
324. Calamos Asset Management, Inc.: 28
324. CATALINA MKTG CP: 28
324. Cathay General Bancorp: 28
324. CONVERGYS CP: 28
324. DOLBY LABORATORIES: 28
324. DUQUESNE LIGHT HLDGS: 28
324. EASTMAN KODAK CO: 28
324. Frank Russell Investment Company Diversified Bond Fund Class S: 28
324. Frank Russell Investment Company Emerging Markets Fund Class S: 28
324. Hartford Total Return Bond Fund Cl Y: 28
324. INTRCNTL HOTEL (NEW): 28
324. JACUZZI BRANDS INC: 28
324. MINERAL TECH INC: 28
324. NELNET INC: 28
324. OPTION CARE, Inc.: 28
324. PENN REAL ESTATE TR: 28
324. PEPSI BOTTLING GRP: 28
324. QUANEX CP: 28
324. Silicon Image, Inc.: 28
324. ST MARY LAND EXPL: 28
324. Sterling Bancshares, Inc.: 28
324. T C F FINANCIAL CORP: 28
324. Tellabs, Inc.: 28
324. The Hartford Growth Opportunities Fund: 28
324. The Hartford Inflation Plus Fund Class Y: 28
324. The Hartford Short Durtion Fund Class Y: 28
324. The Hartford SmallCap Growth Fund: 28
324. The Hartford Value Opportunities Fund: 28
324. USANA Health Sciences Inc.: 28
324. VISHAY INTERTECH: 28
324. WATSCO INC: 28
325. ADVANCE AUTO PARTS: 27
325. AIRTRAN HLDGS INC: 27
325. ARGON ST, Inc.: 27
325. BANCORPSOUTH INC: 27
325. CAMBREX CP: 27
325. Cincinnati Financial Corporation: 27
325. CON: 27
325. DESARROLLADORA HOMEX: 27
325. EAGLE MATERIALS INC: 27
325. EQUITY LIFESTYLE PRP: 27
325. Expedia, Inc.: 27
325. First Cash Financial Services, Inc.: 27
325. Fossil, Inc.: 27
325. KB HOME: 27
325. MARTIN MARIETTA MTRL: 27
325. Medicines Company (The): 27
325. NEW PLAN EXCEL RLTY: 27
325. Papa John's International, Inc.: 27
325. PeopleSupport, Inc.: 27
325. RAYMOND JAMES FIN CP: 27
325. S A F E C O CP ##: 27
325. SI International, Inc.: 27
325. Silicon Laboratories, Inc.: 27
325. SMITH A O CORP: 27
325. SNAP ON INC: 27
325. SonicWALL, Inc.: 27
325. South Financial Group Inc. (The): 27
325. Umpqua Holdings Corporation: 27
325. Websense, Inc.: 27
326. Aeroflex Incorporated: 26
326. Alexander & Baldwin, Inc.: 26
326. ALLEGHANY CP: 26
326. ALLIED CAP CORP: 26
326. AMCOL INTL CP: 26
326. Andrew Corporation: 26
326. APRIA HEALTHCARE: 26
326. Citizens Banking Corporation: 26
326. CONS EDISON INC: 26
326. Copart, Inc.: 26
326. Greater Bay Bancorp: 26
326. Huntington Bancshares Incorporated: 26
326. Hydril: 26
326. JOHN WILEY SONS CL A: 26
326. KELLWOOD CO: 26
326. KINETIC CONCEPTS INC: 26
326. LIONS GATE ENTMT CP: 26
326. Nektar Therapeutics: 26
326. Noven Pharmaceuticals, Inc.: 26
326. Silver Standard Resources, Inc: 26
326. TELEPHONE + DATA SYS: 26
326. USI Holdings Corporation: 26
326. WENDYS INTL INC: 26
326. Werner Enterprises, Inc.: 26
326. WGL HOLDINGS INC: 26
327. [[GOL|]]: 25
327. AIM High Yield Fund: 25
327. AIM Large Cap Basic Value Fund: 25
327. AIM Large Cap Growth Fund: 25
327. AIM Multi: 25
327. AIM Structured Growth Fund: 25
327. AIM Structured Value Fund: 25
327. AIM Total Return Bond Fund: 25
327. American Physicians Capital, Inc.: 25
327. ARAMARK CORP B: 25
327. ASHFORD HOSP TR INC: 25
327. ASHLAND INC (NEW): 25
327. B C E INC: 25
327. BRINKER INTL INC: 25
327. Carrizo Oil & Gas, Inc.: 25
327. Commonwealth Telephone Enterprises, Inc.: 25
327. D T E ENERGY CO HLDG: 25
327. EZCORP, Inc.: 25
327. Fidelity Advisor Short Fixed Income Cl I: 25
327. FIRST POTOMAC RTY TR: 25
327. ING Legg Mason Value Fund I Class: 25
327. John Hancock Fds II, International Small Company Fd NAV Class: 25
327. John Hancock Funds II Capital Appreciation Fund NAV Class: 25
327. John Hancock Funds II Core Bond Fund NAV Class: 25
327. John Hancock Funds II Investment Quality Bond Fund NAV Class: 25
327. John Hancock Funds II Quantitative Value Fund NAV Class: 25
327. LECG Corporation: 25
327. Manhattan Associates, Inc.: 25
327. MassMutual Premier Inflation: 25
327. MassMutual Select Growth Equity Fund Class S: 25
327. MassMutual Select Large Cap Value Fd Cl S: 25
327. MassMutual Select Overseas Fund Class S: 25
327. MEREDITH CP: 25
327. Middleby Corporation (The): 25
327. NEWALLIANCE BANCSHAR: 25
327. PLANTRONICS INC: 25
327. RAYONIER INC REIT: 25
327. READERS DIGEST: 25
327. Regeneron Pharmaceuticals, Inc.: 25
327. S&P DEP RECEIPTS: 25
327. STI Classic Aggressive Growth Stock Fund I Shs: 25
327. STI Classic Capital Appreciation Fund Class I: 25
327. STI Classic International Equity Index Fund Class I: 25
327. STI Classic Large Cap Quantitative Equity Fund Class I: 25
327. STI Classic Large Cap Relative Value Fund Class I: 25
327. STI Classic Large Cap Value Equity Fund Class I: 25
327. STI Classic Mid: 25
327. STI Classic Mid: 25
327. STI Classic Small Cap Growth Stock Fund Class I: 25
327. STI Classic Small Cap Quantitative Equity Fd I Shs: 25
327. UNILEVER PLC AMER: 25
327. Warnaco Group Inc (The): 25
327. Westamerica Bancorporation: 25
327. Wind River Systems, Inc.: 25










