FSTSX
Fidelity Series International Small Cap Fund
Fidelity Investment Trust

Portfolio moves

Net position changes between two of this fund's N-PORT snapshots. These are differences between point-in-time reports — not a trade log — and share counts can be affected by splits and other corporate actions.

Oct 31, 2025 → Jan 31, 2026

Expand a category to see the positions behind it, ranked by weight.

Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
BEAZLEY PLC/UK 0 600,000 600,000 0.24% $9.30M
PIRELLI E C SPA 0 1,205,300 1,205,300 0.23% $9.07M
UNIMICRON TECH 0 635,000 635,000 0.20% $7.61M
METRO BANK HOLDINGS PLC COMMON STOCK 0 3,883,495 3,883,495 0.18% $7.08M
ORIZON VALORIZAC 0 475,000 475,000 0.17% $6.72M
NAMURA SHIPBUILD 0 211,800 211,800 0.15% $5.75M
SRE HOLDINGS COR 0 300,000 300,000 0.15% $5.72M
NITERRA CO LTD 0 130,400 130,400 0.15% $5.69M
OPEN HOUSE GROUP 0 93,900 93,900 0.14% $5.52M
FRAMERY GROUP OYJ 0 520,000 520,000 0.14% $5.35M
CTP NV 0 245,000 245,000 0.14% $5.32M
KINGSPAN GROUP 0 50,000 50,000 0.11% $4.36M
PAL GROUP HOLDIN 0 400,000 400,000 0.11% $4.31M
INTERTEK GROUP PLC COMMON STOCK GBP.01 0 70,000 70,000 0.11% $4.28M
SEGRO PLC 0 400,000 400,000 0.11% $4.15M
Mensch und Maschine Software SE 0 76,900 76,900 0.10% $4.01M
AUB GROUP LTD 0 175,600 175,600 0.09% $3.69M
TOKYO OHKA KOGYO CO LTD 0 76,200 76,200 0.09% $3.58M
TRUSTPILOT GROUP 0 1,250,000 1,250,000 0.08% $3.15M
MAZDA MOTOR 0 388,000 388,000 0.08% $2.97M
ALK-ABELLO A/S 0 82,300 82,300 0.07% $2.71M
Ambea AB ( publ ) 0 170,700 170,700 0.07% $2.61M
SEOUL GUARANTEE INSURANCE CO 0 65,000 65,000 0.06% $2.24M
FERREXPO PLC 0 1,850,000 1,850,000 0.05% $1.92M
MIDAC HOLDINGS C 0 137,235 137,235 0.05% $1.77M
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
JTC PLC 2,395,000 0 -2,395,000 0.00% -$41.03M
RIGHTMOVE PLC COMMON STOCK GBP.001 2,199,463 0 -2,199,463 0.00% -$19.30M
KUSURI NO AOKI H 593,574 0 -593,574 0.00% -$15.04M
SOUTH BOW CORP 500,000 0 -500,000 0.00% -$12.97M
FUJI ELECTRIC CO LTD 155,000 0 -155,000 0.00% -$11.12M
SAGE GROUP PLC/T 690,000 0 -690,000 0.00% -$10.42M
OBIC COMPANY LTD 313,000 0 -313,000 0.00% -$9.72M
TAG IMMOBILIEN 450,000 0 -450,000 0.00% -$7.46M
Welcia Holdings Co Ltd 250,000 0 -250,000 0.00% -$4.99M
ENERGEAN PLC COMMON STOCK GBP.01 391,300 0 -391,300 0.00% -$4.96M
ALLFUNDS GROUP P 650,000 0 -650,000 0.00% -$4.94M
SAVILLS PLC COMMON STOCK 369,600 0 -369,600 0.00% -$4.89M
AT&S 128,466 0 -128,466 0.00% -$4.78M
RICHTER GEDEON N 151,700 0 -151,700 0.00% -$4.68M
KURARAY CO LTD 429,900 0 -429,900 0.00% -$4.67M
ASAHI INTECC CO 257,600 0 -257,600 0.00% -$4.09M
RELO GROUP INC COMMON STOCK 340,000 0 -340,000 0.00% -$3.66M
DOMETIC GROUP AB 677,800 0 -677,800 0.00% -$3.33M
TREASURY WINE ES 850,000 0 -850,000 0.00% -$3.33M
KYORITSU MAINTEN 168,300 0 -168,300 0.00% -$3.28M
ARCADIS NV 60,600 0 -60,600 0.00% -$2.89M
GRAINGER PLC 1,156,700 0 -1,156,700 0.00% -$2.85M
ROHTO PHARM 180,000 0 -180,000 0.00% -$2.79M
DMG MORI CO LTD 174,900 0 -174,900 0.00% -$2.72M
JINS HOLDINGS IN 44,800 0 -44,800 0.00% -$2.26M
TERRAVEST INDUST 22,000 0 -22,000 0.00% -$2.13M
DRONESHIELD LTD 724,876 0 -724,876 0.00% -$1.82M
ION BEAM APPLICATIONS COMMON STOCK 71,742 0 -71,742 0.00% -$903.01K
SYNTHOMER PLC 838,322 0 -838,322 0.00% -$591.40K
MAISONS DU MONDE 184,894 0 -184,894 0.00% -$435.83K
VIDRALA SA - RTS (NOV 25) 37,700 0 -37,700 0.00% -$178.17K
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
ISHARES MSCI EAFE SMALL CAP ETF 527,400 1,233,500 706,100 2.58% $60.67M
HOWDEN JOINERY G 6,037,682 6,212,682 175,000 1.82% $2.66M
BERGMAN BEVING AKTIEBOLAG 1,823,090 1,848,090 25,000 1.47% -$7.10M
HOKUHOKU FINANCI 1,447,600 1,457,600 10,000 1.28% $14.42M
DAIEI KANKYO CO 1,056,100 1,829,402 773,302 1.23% $24.66M
USS Company, Ltd. 3,870,500 4,219,600 349,100 1.19% $3.80M
IMDEX LTD 15,781,906 16,231,906 450,000 1.10% $7.32M
OXFORD INSTR 525,000 1,220,000 695,000 1.08% $28.94M
DIPLOMA PLC COMMON STOCK 543,800 553,800 10,000 1.03% $237.26K
STEADFAST GROUP 10,209,645 11,009,645 800,000 1.03% $2.69M
LISI SA 582,388 622,388 40,000 1.01% $5.37M
SHO-BOND HOLDINGS CO LTD COMMON STOCK 1,108,800 4,335,200 3,226,400 1.00% $3.67M
JAPAN ELEVATOR S 2,989,600 3,672,900 683,300 0.99% $3.32M
HACHIJUNI NAGANO 2,335,500 2,546,500 211,000 0.81% $8.13M
TSURUHA HOLDINGS INC COMMON STOCK 576,100 1,523,600 947,500 0.62% $14.27M
VISIONAL INC 268,100 416,400 148,300 0.59% $4.27M
SPIRAX GROUP PLC COMMON STOCK 120,897 185,897 65,000 0.47% $7.21M
DCC PLC 230,000 260,000 30,000 0.42% $1.36M
FIELMANN GROUP AG COMMON STOCK 265,300 335,400 70,100 0.42% $1.98M
Lumine Group Inc 685,000 985,000 300,000 0.42% -$135.70K
YONEX CO LTD 235,000 700,000 465,000 0.38% $8.67M
AVON TECHNOLOGIES PLC 449,600 591,500 141,900 0.36% $2.89M
M-UP HOLDINGS IN 1,270,939 2,595,278 1,324,339 0.35% -$2.10M
EXAIL TECHNOLOGI 99,700 104,700 5,000 0.35% $4.18M
IBIDEN CO LTD 222,200 248,400 26,200 0.34% -$7.86M
PARK24 CO LTD 650,000 925,000 275,000 0.33% $5.28M
Moriya Transportation Engineering & Manufacturing Co. Ltd. 335,500 345,500 10,000 0.29% $507.61K
JM AB 315,300 685,300 370,000 0.27% $6.01M
PINEWOOD TECHNOLOGIES GROUP PLC 1,425,000 1,600,000 175,000 0.26% $3.44M
CENTRAL AUTO PRO 692,337 750,237 57,900 0.26% $2.06M
SUMCO CORP 569,000 803,100 234,100 0.21% $2.55M
TGS ASA 720,000 790,000 70,000 0.21% $2.10M
WAREHOUSES DE PA 138,500 283,000 144,500 0.21% $4.50M
IMI PLC ORD 170,800 181,600 10,800 0.18% $1.51M
ST JAMES S PLACE PLC 266,700 329,800 63,100 0.18% $2.31M
BECHTLE AG COMMON STOCK 118,500 127,900 9,400 0.17% $1.64M
NICHIAS CORP 116,900 130,500 13,600 0.17% $2.16M
MINCON GROUP PLC 3,809,284 10,500,000 6,690,716 0.16% $4.37M
SUBSEA 7 SA 156,900 227,100 70,200 0.15% $2.93M
DEXERIALS CORP 306,900 326,900 20,000 0.15% $704.32K
VIDRALA SA 37,700 53,685 15,985 0.14% $2.03M
MARUWA CO LTD 14,300 17,900 3,600 0.14% $1.44M
SUMBER ALFARIA T 35,000,000 52,000,000 17,000,000 0.14% $1.18M
4IMPRINT GROUP PLC 55,600 96,100 40,500 0.14% $2.93M
FUNAI SOKEN HOLDINGS INC 455,457 740,252 284,795 0.14% -$1.82M
NEINOR HOMES SLU 152,500 222,600 70,100 0.14% $2.27M
KEWPIE CORPORATION 103,200 186,400 83,200 0.13% $2.36M
WIZZ AIR HOLDING 170,000 260,000 90,000 0.13% $2.71M
BURBERRY GROUP PLC COMMON STOCK 246,800 335,200 88,400 0.13% $1.03M
KOTOBUKI SPIRITS 410,200 429,700 19,500 0.13% $44.27K
INABA DENKI SANG 147,800 295,600 147,800 0.13% $557.58K
VISCOFAN SA COMMON STOCK 70,000 72,000 2,000 0.12% $464.52K
IMCD NV 35,000 50,000 15,000 0.12% $1.04M
KAINOS GROUP PLC 350,000 364,400 14,400 0.11% $156.37K
AB DYNAMICS PLC 200,000 250,000 50,000 0.11% $1.06M
ALLEIMA AB 352,686 496,403 143,717 0.11% $1.28M
KATITAS CO LTD 190,000 220,000 30,000 0.11% $1.24M
ATOSS SOFTWARE 20,400 37,500 17,100 0.11% $1.60M
B&M EUROPEAN 1,600,000 1,770,000 170,000 0.11% $495.06K
DAVIDE CAMPARI-M 437,500 597,300 159,800 0.11% $1.19M
CRANSWICK PLC COMMON STOCK 44,100 50,000 5,900 0.09% $739.71K
LEGEND BIOTECH CORP SPON ADR 120,000 170,000 50,000 0.08% -$913.00K
ROLAND CORP 17,000 107,700 90,700 0.07% $2.29M
TRANSACTION 281,800 336,400 54,600 0.07% $724.42K
SYSTEM SUPPORT HOLDINGS INC COMMON STOCK 123,100 246,200 123,100 0.06% -$211.46K
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
LAGERCRANTZ-B SH 4,575,199 4,425,199 -150,000 2.49% -$15.23M
ADDTECH AB-B SH 3,057,896 2,667,896 -390,000 2.23% -$16.55M
GAMES WORKSHOP GROUP CO PLC 393,242 365,380 -27,862 2.18% $2.95M
AALBERTS NV COMMON STOCK 2,149,335 2,064,835 -84,500 2.04% $11.12M
BE SEMICONDUCTOR 457,870 401,890 -55,980 2.01% $466.62K
AZBIL CORP 10,348,460 8,621,939 -1,726,521 1.92% -$27.19M
InterContinental Hotels Group PLC SPON ADS EACH REP 1 ORD SHS 436,900 434,200 -2,700 1.53% $6.52M
BODYCOTE PLC 5,454,561 5,336,161 -118,400 1.39% $10.22M
RICHELIEU HARDW 1,717,620 1,708,020 -9,600 1.31% $3.99M
CTS Eventim AG & Company KGaA 676,834 536,834 -140,000 1.16% -$15.39M
TEL AVIV STOCK E 1,594,457 1,062,857 -531,600 1.05% $3.86M
ZEGONA COMMUNICATIONS PLC 2,620,000 1,840,957 -779,043 1.02% -$2.66M
NSD CO LTD 2,064,580 1,887,380 -177,200 1.01% -$4.61M
KOSHIDAKA HOLDINGS CO LTD 5,242,659 4,693,759 -548,900 0.93% -$3.90M
Fidelity Cash Central Fund 57,874,569 36,153,870 -21,720,699 0.93% -$21.73M
Fidelity Securities Lending Cash Central Fund 64,338,338 33,590,028 -30,748,310 0.86% -$30.75M
Ituran Location and Control Ltd 778,735 668,735 -110,000 0.76% -$143.44K
AERCAP HOLDINGS NV 246,000 186,000 -60,000 0.68% -$5.32M
TOCALO CO LTD 1,473,649 1,393,649 -80,000 0.60% $1.58M
GOLDCREST CO LTD 1,023,700 1,003,700 -20,000 0.55% -$654.53K
RHEINMETALL AG 11,800 9,800 -2,000 0.53% -$2.45M
INTL CONTAINER TERM SVCS INC COMMON STOCK 2,200,000 1,800,000 -400,000 0.50% -$248.30K
AUTOLIV INC 160,900 157,900 -3,000 0.49% $350.68K
ADDCN TECHNOLOGY CO LTD 3,559,432 3,537,432 -22,000 0.48% -$1.69M
AUCNET INC COMMON STOCK 1,415,620 1,315,620 -100,000 0.45% -$1.06M
TIS INC 829,836 557,574 -272,262 0.42% -$12.41M
BALTIC CLASSIFIE 11,927,600 5,782,605 -6,144,995 0.41% -$30.12M
SHIBAURA MECH 106,400 99,400 -7,000 0.39% $2.43M
KONINKLIJKE HEIJ 200,000 158,000 -42,000 0.33% -$1.31M
BROADLEAF CO LTD 3,405,173 3,005,173 -400,000 0.33% -$3.58M
SOFTWARE SERVICE 154,100 150,900 -3,200 0.32% -$1.22M
ADDLIFE AB-B 1,055,523 789,823 -265,700 0.31% -$10.72M
NIHON PARKER CO 1,391,518 1,266,518 -125,000 0.31% -$52.04K
MEDIKIT CO LTD COMMON STOCK 658,800 608,800 -50,000 0.30% $165.81K
WHITEHAVEN COAL 2,125,000 1,775,000 -350,000 0.28% $903.28K
SCOUT24 SE 220,500 95,500 -125,000 0.24% -$15.95M
MORNINGSTAR INC 53,246 46,246 -7,000 0.24% -$1.96M
BIG YELLOW GROUP 750,000 650,000 -100,000 0.23% -$1.80M
WINGARC1ST INC 655,760 434,536 -221,224 0.23% -$5.14M
SYSTENA 3,400,000 2,700,000 -700,000 0.23% -$2.85M
INTEGRATED DIAGNOSTICS HOLDINGS PLC 15,331,734 14,026,647 -1,305,087 0.22% $110.75K
AS ONE CORP 599,500 556,300 -43,200 0.21% -$1.45M
PRONEXUS INC 1,122,177 1,062,097 -60,080 0.20% -$25.80K
LECTRA 344,159 285,950 -58,209 0.20% -$1.46M
BEIJER ALMA -B 263,600 228,000 -35,600 0.17% -$1.30M
MITSUBOSHI BELTI 272,952 242,952 -30,000 0.16% -$253.28K
SOULBRAIN CO LTD/NEW 18,000 16,995 -1,005 0.15% $2.16M
SWCC SHOWA HOLDI 117,200 76,600 -40,600 0.15% -$7.09K
MIROKU JYOHO SER 508,891 404,791 -104,100 0.13% -$774.22K
BFF BANK SPA 529,000 519,000 -10,000 0.13% -$1.41M
MITANI CORP (MITANI SHOJI) 296,900 280,000 -16,900 0.11% -$163.56K
PETS AT HOME 1,335,600 1,329,300 -6,300 0.10% -$36.74K
VALLOUREC 244,300 152,200 -92,100 0.08% -$1.32M
Real Matters Incorporation COM 950,000 700,000 -250,000 0.08% -$1.79M
EBARA CORP 240,000 100,000 -140,000 0.08% -$3.42M
TAKEUCHI MFG CO 230,400 70,400 -160,000 0.07% -$6.62M
TIMEE INC 1,727,500 282,500 -1,445,000 0.06% -$14.28M
LSL PROPERTY SERVICES PLC 689,000 681,300 -7,700 0.06% $162.38K
M3 INC COMMON STOCK 200,000 180,000 -20,000 0.06% -$581.94K
DAIKOKUTENBUSSAN 236,400 61,200 -175,200 0.05% -$7.50M
BETSSON AB CL B 435,000 95,000 -340,000 0.03% -$5.69M
SYGNITY SA 65,725 43,375 -22,350 0.02% -$804.81K
PASON SYSTEMS INC COMMON STOCK 651,500 50,106 -601,394 0.01% -$5.11M
SOFTCREATE HDS 200,000 20,200 -179,800 0.01% -$2.50M
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
INTERPUMP SPA 1,918,137 1,918,137 0 2.85% $12.31M
KBC ANCORA 886,579 886,579 0 2.09% $11.86M
OR ROYALTIES INC 1,534,700 1,534,700 0 1.55% $11.27M
SIGMAROC PLC COMMON STOCK GBP.01 24,175,473 24,175,473 0 1.21% $10.65M
KONGSBERG GRUPP 1,084,540 1,084,540 0 0.95% $9.49M
AUTO1 GROUP SE 1,102,100 1,102,100 0 0.93% -$2.22M
SK KAKEN CO LTD COMMON STOCK 496,920 496,920 0 0.88% $5.01M
PRICESMART INC 209,112 209,112 0 0.76% $5.70M
VETOQUINOL SA 261,180 261,180 0 0.69% $4.45M
CURVES HOLDINGS 5,524,859 5,524,859 0 0.68% $533.13K
MONOGATARI CORP THE 925,488 925,488 0 0.64% $1.70M
CHIBA BANK LTD 1,769,000 1,769,000 0 0.61% $6.54M
KYOTO FINANCIAL 860,212 860,212 0 0.53% $3.28M
HILL & SMITH PLC COMMON STOCK 675,514 675,514 0 0.53% $1.49M
INVISIO AB 683,872 683,872 0 0.51% -$1.78M
JOHN MATTSON FASTIGHETSFORETAGEN AB 2,434,706 2,434,706 0 0.46% $971.80K
SAN-AI OBBLI CO 1,268,872 1,268,872 0 0.46% $1.17M
NAGAILEBEN CO 1,528,000 1,528,000 0 0.45% $203.24K
GIFT HOLDINGS IN 721,900 721,900 0 0.44% $2.01M
FLUIDRA SA 574,020 574,020 0 0.43% $63.27K
CLARKSON PLC COMMON STOCK 290,634 290,634 0 0.43% $2.82M
EMEMORY TECH 258,000 258,000 0 0.38% -$1.72M
BOUSTEAD SINGAPORE LTD COMMON STOCK 9,400,000 9,400,000 0 0.37% $1.48M
BGF RETAIL CO LT 157,318 157,318 0 0.34% $1.76M
IRISH RESIDENTIAL PROPERTIES REIT PLC 10,949,300 10,949,300 0 0.34% $1.40M
VAN LANSCHOT KEM 214,930 214,930 0 0.33% $458.24K
ATHENS INTL APT 947,400 947,400 0 0.33% $1.78M
CAIRN HOMES 5,041,234 5,041,234 0 0.32% $1.24M
ELIS SA 420,000 420,000 0 0.31% $501.08K
YAKUODO HOLDINGS 914,600 914,600 0 0.30% -$210.26K
DOVALUE SPA 3,700,000 3,700,000 0 0.29% -$67.32K
STABILUS SE 486,358 486,358 0 0.29% -$1.01M
STEF 75,000 75,000 0 0.29% $670.14K
ASTOR TRANSFORMA 3,000,000 3,000,000 0 0.28% $4.02M
RS GROUP PLC 1,197,500 1,197,500 0 0.28% $2.22M
LAURENT PERRIER GROUP 97,649 97,649 0 0.27% -$71.52K
THERMADOR HOLDINGS SA 107,619 107,619 0 0.26% $562.26K
RUSTA AB (PUBL) 1,055,549 1,055,549 0 0.25% $2.72M
MEDISTIM ASA COMMON STOCK NOK.25 393,375 393,375 0 0.23% -$1.49M
MCJ CO LTD 866,500 866,500 0 0.23% $620.70K
QOL HOLDINGS CO 630,000 630,000 0 0.22% $683.07K
SHAFTESBURY CAPI 4,250,000 4,250,000 0 0.21% $506.38K
NS TOOL CO LTD COMMON STOCK 1,444,000 1,444,000 0 0.20% $650.99K
BHG GROUP AB 2,241,400 2,241,400 0 0.20% $930.57K
MAEDA KOSEN CO L 640,900 640,900 0 0.20% -$356.69K
CHLITINA HOLDING 2,306,670 2,306,670 0 0.19% $68.91K
IWATANI CORP 620,000 620,000 0 0.19% $866.24K
ENITY HOLDING AB 580,000 580,000 0 0.18% $1.40M
GENERALFINANCE SPA 245,000 245,000 0 0.18% $1.71M
CONSUN PHARMACEU 3,000,000 3,000,000 0 0.18% $1.14M
INCHCAPE PLC 610,300 610,300 0 0.17% $693.25K
FAGRON 257,500 257,500 0 0.17% $646.56K
AI HOLDINGS CORP COMMON STOCK 376,292 376,292 0 0.17% -$66.39K
OSAKA SODA CO LT 443,900 443,900 0 0.16% $1.69M
BELC CO LTD COMMON STOCK 130,000 130,000 0 0.16% $327.15K
SELAMAT SEMPURNA TBK PT 59,800,000 59,800,000 0 0.16% -$679.01K
SPAREBANK 1 SMN 304,700 304,700 0 0.16% $523.66K
CUSCAL LTD 2,050,000 2,050,000 0 0.16% $473.67K
FERRARI GROUP PLC 505,000 505,000 0 0.16% $1.19M
CLINICA BAVIERA SA 95,000 95,000 0 0.15% $1.43M
ARTNATURE INC 1,124,900 1,124,900 0 0.15% -$171.25K
EUROPRIS ASA 647,300 647,300 0 0.15% $369.58K
RIGAKU HOLDINGS 750,000 750,000 0 0.15% $1.03M
LOGISTA 154,600 154,600 0 0.14% $494.39K
NIB HOLDINGS LTD AUSTRALIA 1,204,263 1,204,263 0 0.14% -$297.44K
LANCASHIRE HOLDI 661,924 661,924 0 0.14% -$229.34K
CARMILA 280,000 280,000 0 0.14% $324.07K
AREALINK CO LTD 747,000 747,000 0 0.14% $428.19K
NORCONSULT NORGE AS 1,127,500 1,127,500 0 0.14% $100.31K
MONTANA AEROSPAC 120,000 120,000 0 0.13% $427.60K
TKH GROUP NV 117,600 117,600 0 0.13% -$39.20K
BEFESA SA 140,000 140,000 0 0.13% $509.75K
DE'LONGHI SPA 115,300 115,300 0 0.13% $881.84K
VALSOFT CORP SER A-1.4 PC PP 513 513 0 0.13% -$619.77K
APOTEA SVERIGE AB 750,000 750,000 0 0.13% -$1.53M
VZ HOLDING AG 25,092 25,092 0 0.13% $12.48K
BANCA GENERALI S 72,400 72,400 0 0.12% $781.11K
PRESTIGE INTERNATIONAL INC 1,065,000 1,065,000 0 0.12% $180.32K
ON THE BEACH GROUP PLC 1,556,800 1,556,800 0 0.12% $319.26K
DP POLAND PLC 42,210,188 42,210,188 0 0.11% $106.58K
KATO SANGYO CO 100,000 100,000 0 0.11% $365.10K
Iwatsuka Confectionery Co. Ltd. 211,600 211,600 0 0.11% $62.08K
CIE AUTOMOTIVE 120,000 120,000 0 0.10% $71.52K
TECHNO MEDICA CO LTD 283,000 283,000 0 0.10% $621.88K
KB COMPONENTS AB 900,000 900,000 0 0.10% -$259.40K
KAWASAKI HVY IND 46,600 46,600 0 0.10% $127.28K
BAYCURRENT INC 109,500 109,500 0 0.10% -$1.17M
ROTORK PLC COMMON STOCK 782,600 782,600 0 0.10% $268.44K
VISTRY GROUP PLC 409,700 409,700 0 0.10% $261.97K
MTY FOOD GROUP INC COMMON STOCK 117,800 117,800 0 0.09% $826.79K
ROYAL UNIBREW 38,600 38,600 0 0.09% $703.93K
SABRE INSURANCE GROUP PLC 1,981,347 1,981,347 0 0.09% $36.65K
ARGAN 45,000 45,000 0 0.09% $19.32K
INTERMESTIC INC 300,000 300,000 0 0.09% -$777.73K
TRIPLE FLAG 100,000 100,000 0 0.09% $594.56K
NOBA BANK GROUP AB 256,965 256,965 0 0.09% $745.18K
CTS CO LTD 500,000 500,000 0 0.08% $407.89K
MEITEC GROUP HOL 144,000 144,000 0 0.08% $263.95K
MONEY FORWARD IN 120,000 120,000 0 0.08% -$477.63K
SELVAAG BOLIG ASA 840,200 840,200 0 0.08% $285.50K
JAPAN STEEL WORK 53,600 53,600 0 0.08% -$570.69K
PREMIER FOODS 1,065,400 1,065,400 0 0.07% $199.50K
ITOCHU ENEX CO 220,700 220,700 0 0.07% $118.82K
MAX STOCK LTD 291,100 291,100 0 0.07% $540.98K
GVS SPA 533,200 533,200 0 0.07% -$22.99K
METAPLANET INC 725,000 725,000 0 0.05% -$276.73K
NORMA GROUP SE 86,902 86,902 0 0.04% $101.76K

Machine-readable: JSON · Markdown. Programmatic access via the agent surface.