CIK 1115418
RHUMBLINE ADVISERS
Institutional 13F holdings & portfolio
Holdings
4,187
Portfolio Value
$123.69B
Latest Report
Dec 31, 2025
Report Periods
3
Holdings
13F filings as of Dec 31, 2025 · Showing 1651–1700 of 4,187
| Ticker | Company | Shares | Value | Type |
|---|---|---|---|---|
| HLIT | HARMONIC INC COM | 309K | $3.05M | SH |
| NVEC | NVE CORP COM NEW COM NEW | 51K | $3.05M | SH |
| NNI | NELNET INC CL A CL A | 23K | $3.04M | SH |
| VRDN | VIRIDIAN THERAPEUTICS INC | 97K | $3.03M | SH |
| ATRO | ASTRONICS CORP COM | 56K | $3.03M | SH |
| FRSH | FRESHWORKS INC-CL A | 247K | $3.03M | SH |
| DNLI | DENALI THERAPEUTICS INC | 183K | $3.02M | SH |
| UVV | UNIVERSAL CORP VA COM | 57K | $3.02M | SH |
| IVT | INVENTRUST PROPERTIES CORP | 107K | $3.01M | SH |
| ADPT | ADAPTIVE BIOTECHNOLOGIES | 185K | $3.00M | SH |
| LOAR | LOAR HOLDINGS INC | 44K | $2.99M | SH |
| MGNI | MAGNITE INC | 184K | $2.99M | SH |
| VITL | VITAL FARMS INC | 93K | $2.98M | SH |
| AAT | AMERICAN ASSETS TR INC COM | 157K | $2.97M | SH |
| CCOI | COGENT COMMUNICATIONS HLDGS INC | 137K | $2.96M | SH |
| AHCO | ADAPTHEALTH CORP | 297K | $2.96M | SH |
| APLS | APELLIS PHARMACEUTICALS | 117K | $2.94M | SH |
| CNYA | ISHARES MSCI CHINA A ETF | 85K | $2.94M | SH |
| GENI | Genius Sports Limited | 266K | $2.93M | SH |
| CGON | CG ONCOLOGY INC | 71K | $2.93M | SH |
| OCUL | OCULAR THERAPEUTIX INC COM | 241K | $2.93M | SH |
| RELY | REMITLY GLOBAL INC | 212K | $2.93M | SH |
| NWL | NEWELL BRANDS INC COM | 786K | $2.93M | SH |
| CWEN.A | CLEARWAY ENERGY INC A | 93K | $2.92M | SH |
| ACLX | ARCELLX INC | 44K | $2.89M | SH |
| TWST | TWIST BIOSCIENCE CORP | 91K | $2.89M | SH |
| PMT | PENNYMAC MTG INVT TR COM REIT | 230K | $2.89M | SH |
| PRKS | UNITED PARKS & RESORTS | 79K | $2.89M | SH |
| BUSE | FIRST BUSEY CORP COM NEW COM NEW | 121K | $2.88M | SH |
| — | AIRBUS SE UNSP ADR | 50K | $2.88M | SH |
| — | BNP PARIBAS ADR | 61K | $2.88M | SH |
| EIG | EMPLOYERS HLDGS INC COM | 66K | $2.87M | SH |
| NVO | NOVO NORDISK AS SPONSORED ADR | 56K | $2.85M | SH |
| VTOL | BRISTOW GROUP INC | 78K | $2.85M | SH |
| DLX | PVTPL DELUXE CORP COM STK | 127K | $2.84M | SH |
| MSGE | MADISON SQUARE GARDEN ENT NEW | 53K | $2.84M | SH |
| — | LOREAL UNSPON ADR | 33K | $2.83M | SH |
| EFSC | ENTERPRISE FINL SVCS CORP COM STK | 52K | $2.82M | SH |
| ATKR | ATKORE INC | 45K | $2.81M | SH |
| LC | LENDINGCLUB CORP | 148K | $2.81M | SH |
| SDRL | SEADRILL LTD | 81K | $2.81M | SH |
| NAVI | NAVIENT CORP COM | 216K | $2.81M | SH |
| DAVE | DAVE INC | 13K | $2.80M | SH |
| PENG | PENGUIN SOLUTIONS INC | 143K | $2.79M | SH |
| GO | GROCERY OUTLET HOLDING CORP | 276K | $2.78M | SH |
| BBAI | BIGBEAR.AI HOLDINGS INC | 511K | $2.76M | SH |
| SDGR | SCHRODINGER INC | 154K | $2.76M | SH |
| NUVB | NUVATION BIO INC | 308K | $2.76M | SH |
| SONY | SONY GROUP CORP SP ADR | 108K | $2.75M | SH |
| COTY | COTY INC COM CL A COM CL A | 893K | $2.75M | SH |