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GS
CGC
GWN Securities’s
Canopy Growth
CGC
Stock Holding History
GWN Securities’s Portfolio
CGC Stock Details
CGC Fund Activity
Bought
Maintained
Sold
Shares
Quarter
Market Value
Status
Shares
Change in
Stake
Trade Value
Portfolio Weight
Portfolio Position
2025
Q2
–
Sell
-426,982
Closed
-$606K
–
449
2025
Q1
$606K
Buy
+426,982
New
+$751K
0.03%
418
Other funds holding CGC
TI
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59.58%
1-Year Est. Return
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27.57%
1-Year Est. Return
Morgan Stanley
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25.57%
1-Year Est. Return
Susquehanna International Group
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$893B AUM
36.07%
1-Year Est. Return
Millennium Management
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$240B AUM
35.51%
1-Year Est. Return
Goldman Sachs
New York
$871B AUM
31.28%
1-Year Est. Return
Citadel Advisors
Miami, Florida
$618B AUM
30.34%
1-Year Est. Return
National Bank of Canada
Montreal, Quebec, Canada
$112B AUM
31.26%
1-Year Est. Return
SS
SBI Securities
Tokyo, Japan
$3.65B AUM
41.88%
1-Year Est. Return
Jane Street
New York
$777B AUM
61.18%
1-Year Est. Return
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Fund Insights
Common Fund Bets
See what stocks and ETFs funds are collectively bullish/bearish on
Largest Fund Trades
Explore the largest stock and ETF buys and sells made by funds
High Conviction Trades
Discover high conviction trades that caused a significant change in a fund's stake in a stock
Fund Manager Portfolios
Gain insights from the world’s largest funds and super investors
WSR Indexes
Fund Manager Index
Stock index based on fund manager consensus updated each quarter
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