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LPL Financial LLC

All holdings · as of Jun 30, 2026

5,995 positions

CompanyClassValueShares% of portfolio
Bridgeline Digital, Inc.BLINCommon Stock$25.5K22,0100.0%
ALT5 Sigma Corp$25.8K44,0590.0%
HERON THERAPEUTICS, INC. /DE$26.1K61,1120.0%
ON SEMICONDUCTOR CORP$27.3K15,0000.0%
BuzzFeed, Inc.BZFDCommon Stock$27.7K18,9750.0%
EURONET WORLDWIDE INC$28.0K33,0000.0%
Aldeyra Therapeutics, Inc.$28.4K13,3160.0%
EVERGY INC$28.4K20,0000.0%
COMPUGEN LTD$29.2K13,6350.0%
BlockchAIn Digital Infrastructure, Inc.AIBCommon Stock$29.7K14,0000.0%
POST HLDGS INC$30.0K29,0000.0%
SOCKET MOBILE, INC.SCKTCommon Stock$30.4K50,4250.0%
SES AI CorpSESCommon Stock$30.6K31,8570.0%
VOC ENERGY TR$30.6K10,6280.0%
CONDUENT Inc$30.6K20,9770.0%
DYADIC INTERNATIONAL INC$30.9K34,5380.0%
TITAN MNG CORP$31.0K14,1750.0%
enCore Energy Corp.$31.1K23,7180.0%
Galiano Gold Inc.$31.1K16,6450.0%
Dare Bioscience, Inc.DARECommon Stock$31.4K14,8890.0%
COINBASE GLOBAL INC$32.1K36,0000.0%
NOUVEAU MONDE GRAPHITE INC$32.5K21,6470.0%
Cherry Hill Mortgage Investment CorpCHMIREIT$32.8K14,1490.0%
KIORA PHARMACEUTICALS, INC.$32.9K12,5000.0%
CMS ENERGY CORP$33.6K30,0000.0%
RETRACTABLE TECHNOLOGIES INC$34.2K47,5660.0%
Lineage Cell Therapeutics, Inc.LCTXCommon Stock$34.9K26,6380.0%
Blink Charging Co.BLNKCommon Stock$35.0K54,6280.0%
UNITY SOFTWARE INC$35.1K31,0000.0%
HERTZ GLOBAL HOLDINGS, INCHTZCommon Stock$35.7K15,7780.0%
PURPLE INNOVATION INC$35.7K100,1190.0%
GoPro, Inc.GPROCommon Stock$36.0K46,2120.0%
Genasys Inc.GNSSCommon Stock$36.2K21,2850.0%
ORGANOGENESIS HOLDINGS INC.ORGOCommon Stock$36.3K14,9390.0%
ALNYLAM PHARMACEUTICALS INC$36.9K31,0000.0%
GREENLAND ENERGY CO$37.4K16,9780.0%
DISH NETWORK CORPORATION$38.2K41,0000.0%
Bumble Inc.$38.2K11,9470.0%
ENVOY MEDICAL, INC.COCHCommon Stock$38.3K48,4010.0%
MARTIN MIDSTREAM PARTNERS L.P.MMLPMLP$38.6K16,7260.0%
DRAFTKINGS INC NEW$39.7K43,0000.0%
SPORTSMANS WAREHOUSE HOLDINGS, INC$39.9K29,9670.0%
NEW FOUND GOLD CORP$40.1K26,0150.0%
Jaguar Uranium Corp.JAGUCommon Stock$40.1K24,0000.0%
MILESTONE SCIENTIFIC INC$40.1K124,9450.0%
GREENBRIER COS INC$40.2K35,0000.0%
HIGH TIDE INC$40.7K17,8340.0%
ROCKET ONE INC$41.0K41,0290.0%
AVALON HLDGS CORP$41.2K16,5380.0%
Carlyle Credit Income FundCCIFClosed-End Fund$41.2K14,7610.0%
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