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ABMD

Abiomed Inc

Delisted

ABMD was delisted on the 21st of December, 2022.

Name Holding Trade Value Shares
Change
Change in
Stake
IMRF
176
Illinois Municipal Retirement Fund
Illinois
$2.91M
AWP
177
Ascent Wealth Partners
New York
$2.86M +$20K +59 +0.7%
BCIM
178
British Columbia Investment Management
British Columbia, Canada
$2.72M -$678 -2 -0%
GC
179
Guggenheim Capital
Illinois
$2.72M -$699K -2,063 -20%
PI
180
PEAK6 Investments
Illinois
$2.68M +$2.79M +8,242 New
Korea Investment Corp
181
Korea Investment Corp
South Korea
$2.67M -$542K -1,600 -16%
CSS
182
Cubist Systematic Strategies
Connecticut
$2.65M -$3.09M -9,126 -53%
Creative Planning
183
Creative Planning
Kansas
$2.65M -$663K -1,956 -19%
GIBU
184
Gulf International Bank (UK)
United Kingdom
$2.64M -$38.3K -113 -1%
URS
185
Utah Retirement Systems
Utah
$2.61M -$136K -400 -5%
Brown Advisory
186
Brown Advisory
Maryland
$2.61M -$1.35K -4 -0%
State of Tennessee, Department of Treasury
187
State of Tennessee, Department of Treasury
Tennessee
$2.49M -$141K -415 -5%
Public Sector Pension Investment Board (PSP Investments)
188
Public Sector Pension Investment Board (PSP Investments)
Quebec, Canada
$2.49M +$186K +550 +8%
ProShare Advisors
189
ProShare Advisors
Maryland
$2.49M -$545K -1,609 -17%
Bank of Nova Scotia
190
Bank of Nova Scotia
Ontario, Canada
$2.41M +$229K +675 +10%
CGH
191
Crossmark Global Holdings
Texas
$2.39M -$186K -550 -7%
MLICM
192
Metropolitan Life Insurance Company (MetLife)
New York
$2.38M -$2.64M -7,792 -52%
E
193
Ergoteles
New York
$2.38M +$2.13M +6,302 +630%
Teacher Retirement System of Texas
194
Teacher Retirement System of Texas
Texas
$2.36M +$141K +417 +6%
LPL Financial
195
LPL Financial
California
$2.33M +$296K +873 +14%
PCM
196
Portolan Capital Management
Massachusetts
$2.3M -$21.3K -63 -0.9%
Mirae Asset Global Investments
197
Mirae Asset Global Investments
South Korea
$2.3M +$390K +1,152 +19%
S
198
Seeyond
France
$2.29M -$24.1K -71 -1%
TPSF
199
Texas Permanent School Fund
Texas
$2.28M -$174K -514 -7%
SI
200
Stephens Inc
Arkansas
$2.28M -$5.76K -17 -0.2%