MITK · Application · 606710200
Mitek Systems, Inc.
Q2 2026 · compared with Q1 2026
- Tracked value
- $513M
- Tracked filers
- 68
4 filings are from the same family as a larger report and are left out of the total.
Quarter history
Tracked value counts one filer from each family. Net bought is the share change from the previous quarter. History follows the CUSIP on the latest information table, and it starts when that filer’s CIK exists, so a renamed issuer or a new CIK is shorter than ten years.
- Q2 202668 filers · $20$513M+$16.6M
- Q1 202669 filers · $14$325M+$8.2M
- Q4 202568 filers · $11$227M+$1.3M
- Q3 202568 filers · $10$209M−$1.3M
- Q2 202568 filers · $10$213MFlat
- Q1 202564 filers · $8$178M+$11.8M
- Q4 202462 filers · $11$332M+$34.0M
- Q3 202455 filers · $9$142M+$638K
- Q2 202458 filers · $11$183M+$38.4M
- Q1 202457 filers · $14$192M−$38.1M
- Q4 202358 filers · $13$215M+$7.7M
- Q3 202359 filers · $11$170M+$6.0M
- Q2 202357 filers · $11$165M+$3.0M
- Q1 202359 filers · $10$143M+$1.4M
- Q4 202256 filers · $10$143MFlat
- Q3 202255 filers · $9$136M−$3.8M
- Q2 202256 filers · $9$141M+$24.1M
- Q1 202253 filers · $15$199M−$15.3M
- Q4 202156 filers · $18$256M−$8.3M
- Q3 202159 filers · $19$273M−$6.4M
- Q2 202158 filers · $19$291M−$7.9M
- Q1 202159 filers · $15$228M+$20.7M
- Q4 202058 filers · $18$257M+$16.3M
- Q3 202051 filers · $13$168M+$6.4M
- Q2 202052 filers · $10$120M+$12.0M
- Q1 202044 filers · $8$86.5M−$4.5M
- Q4 201948 filers · $8$89.0M+$16.4M
- Q3 201945 filers · $10$95.5M−$6.8M
- Q2 201949 filers · $10$105M+$3.0M
- Q1 201946 filers · $12$126M+$28.4M
- Q4 201841 filers · $11$83.3M+$929K
- Q3 201839 filers · $7$54.5M+$917K
- Q2 201840 filers · $9$65.9M+$2.2M
- Q1 201843 filers · $7$53.1M−$9.5M
- Q4 201743 filers · $9$73.6M+$5.0M
- Q3 201746 filers · $10$73.2M+$5.6M
- Q2 201742 filers · $8$59.2M+$4.0M
- Q1 201739 filers · $7$42.8M+$11.8M
- Q4 201643 filers · $6$27.7MFlat
- Q3 201640 filers · $8$37.2M+$2.8M
- Q2 201638 filers · $7$29.8M—
Who owns it
- BlackRockPassive · 0.0% of their software3,539,271 shares$71.2M+$3.7M
- Legal & GeneralPassive · 0.1% of their software2,685,818 shares$54.1M+$1.5M
- InvescoPassive · 0.0% of their software2,069,885 shares$41.7M+$2.4M
- Vanguard Capital ManagementPassive · 0.0% of their software1,935,751 shares$39.0M+$533K
- Wellington Management GroupGeneralist · 0.1% of their software1,780,147 shares$35.8M+$7.7M
- DimensionalPassive · 0.1% of their software1,760,008 shares$35.4M+$1.0M
- Vanguard Portfolio ManagementPassive · 0.0% of their software1,629,933 shares · Not in the total$32.8M+$1.9M
- GeodePassive · 0.0% of their software1,170,994 shares$23.6M+$743K
- State StreetPassive · 0.0% of their software1,127,480 shares$22.7MFlat
- NuveenPassive · 0.1% of their software966,513 shares$19.5M+$4.5M
- Jane Street GroupGeneralist · 0.1% of their software896,925 shares$18.1M+$6.2M
- Millennium ManagementGeneralist · 0.2% of their software854,482 shares$17.2MNew · +$11.5M
- Morgan StanleyGeneralist · 0.0% of their software537,558 shares$10.8MFlat
- Raymond James FinancialGeneralist · 0.1% of their software504,395 shares$10.2M+$1.9M
- Susquehanna International GroupGeneralist · 0.1% of their software464,808 shares$9.4M+$4.6M
- Northern TrustPassive · 0.0% of their software462,922 shares$9.3MFlat
- Wells FargoGeneralist · 0.0% of their software380,623 shares$7.7M+$4.9M
- Goldman SachsGeneralist · 0.0% of their software356,085 shares$7.2MFlat
- Aqr Capital ManagementGeneralist · 0.0% of their software332,413 shares$6.7MFlat
- Vanguard Fiduciary Trust COPassive · 0.0% of their software321,392 shares · Not in the total$6.5MFlat
- Citadel AdvisorsGeneralist · 0.0% of their software303,007 shares$6.1M+$1.4M
- Bank of New York MellonPassive · 0.0% of their software264,393 shares$5.3MFlat
- CitigroupGeneralist · 0.0% of their software212,103 shares$4.3M+$2.1M
- Marshall WaceGeneralist · 0.1% of their software200,501 shares$4.0M−$8.4M
- JPMorgan ChaseGeneralist · 0.0% of their software192,323 shares$3.8M—
- Schroder Investment Management GroupGeneralist · 0.0% of their software170,535 shares$3.3M+$1.1M
- Charles Schwab Investment ManagementPassive · 0.0% of their software142,938 shares$2.9MFlat
- Two Sigma InvestmentsGeneralist · 0.0% of their software141,883 shares$2.9M−$1.2M
- Squarepoint OpsGeneralist · 0.1% of their software137,963 shares$2.8M+$917K
- Victory Capital ManagementGeneralist · 0.0% of their software128,245 shares$2.6M+$1.2M
- Renaissance TechnologiesGeneralist · 0.0% of their software123,200 shares$2.5M−$4.1M
- Credit Agricole S AGeneralist · 0.1% of their software115,000 shares$2.3MFlat
- FidelityGeneralist · 0.0% of their software114,791 shares$2.3M+$1.1M
- American Century CompaniesGeneralist · 0.0% of their software113,392 shares$2.3MFlat
- Sei Investments COGeneralist · 0.0% of their software110,215 shares$2.2M−$1.0M
- UBS GroupGeneralist · 0.0% of their software107,394 shares$2.2MFlat
- Creative PlanningGeneralist · 0.1% of their software100,052 shares$2.0MFlat
- Principal Financial GroupGeneralist · 0.0% of their software92,988 shares$1.9MFlat
- Prudential FinancialGeneralist · 0.0% of their software85,010 shares$1.7M−$10.4M
- Quantinno Capital ManagementGeneralist · 0.0% of their software81,969 shares$1.7MFlat
- Bank of AmericaGeneralist · 0.0% of their software66,374 shares$1.3M−$2.0M
- Rhumbline AdvisersGeneralist · 0.0% of their software56,008 shares$1.1MFlat
- LPl FinancialGeneralist · 0.0% of their software46,770 shares$941KFlat
- State Board of Administration of Florida Retirement SystemGeneralist · 0.0% of their software43,827 shares$882KFlat
- D. E. ShawGeneralist · 0.0% of their software43,343 shares$872K−$1.1M
- Russell Investments GroupGeneralist · 0.0% of their software43,286 shares$871K+$532K
- Deutsche BankGeneralist · 0.0% of their software42,696 shares$859KFlat
- Stifel FinancialGeneralist · 0.0% of their software39,910 shares$803KFlat
- Mirae Asset Global Etfs HoldingsGeneralist · 0.0% of their software35,869 shares$722KFlat
- First Trust AdvisorsGeneralist · 0.0% of their software34,269 shares$690K−$1.4M
- Franklin ResourcesGeneralist · 0.0% of their software33,765 shares$680KFlat
- Lazard Asset ManagementGeneralist · 0.0% of their software29,813 shares$600K−$2.5M
- Corient Private WealthGeneralist · 0.0% of their software28,486 shares$573KNew
- AlliancebernsteinGeneralist · 0.0% of their software41,500 shares$560KFlat
- Balyasny Asset ManagementGeneralist · 0.0% of their software27,084 shares$545KNew
- MarinerGeneralist · 0.0% of their software21,722 shares$437KFlat
- Vanguard Global AdvisersPassive · 0.0% of their software21,414 shares · Not in the total$431KFlat
- New York State Common Retirement FundGeneralist · 0.0% of their software15,867 shares$319KFlat
- Royal Bank of CanadaGeneralist · 0.0% of their software13,682 shares$275KFlat
- Phoenix FinancialGeneralist · 0.0% of their software13,275 shares$266KNew
- State of Wisconsin Investment BoardGeneralist · 0.0% of their software12,079 shares$243KNew
- Manufacturers Life Insurance Company, TheGeneralist · 0.0% of their software11,845 shares$238KFlat
- BarclaysGeneralist · 0.0% of their software8,339 shares$168KFlat
- Bnp Paribas Financial MarketsGeneralist · 0.0% of their software8,028 shares$162KFlat
- Rockefeller Capital ManagementGeneralist · 0.0% of their software1,100 shares$22KFlat
- UBS Asset ManagementGeneralist · 0.0% of their software849 shares · Not in the total$17KFlat
- Lynrock LakeSpecialist · 0.0% of their software666 shares$13KFlat
- California State Teachers Retirement SystemGeneralist · 0.0% of their software622 shares$13KFlat
- US Bancorp deGeneralist · 0.0% of their software485 shares$10KFlat
- Pnc Financial Services GroupGeneralist · 0.0% of their software482 shares$10KFlat
- Fifth Third BancorpGeneralist · 0.0% of their software404 shares$8KFlat
- Jones Financial Companies LllpGeneralist · 0.0% of their software328 shares$6KFlat
Exited
- AmeripriseGeneralist0 shares$0Sold $10.9M
- Arrowstreet Capital, Limited PartnershipGeneralist0 shares$0Exited
- Bank of Nova ScotiaGeneralist0 shares$0Exited
- Canada Pension Plan Investment BoardGeneralist0 shares$0Exited
- Federated HermesGeneralist0 shares$0Exited
- Man GroupGeneralist0 shares$0Sold $597K
- Qube Research & TechnologiesGeneralist0 shares$0Sold $1.5M
