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AHL

ASPEN Insurance Holding Limited
AHL

Delisted

AHL was delisted on the 14th of February, 2019.

Name Holding Trade Value Shares
Change
Change in
Stake
Fidelity Investments
1
Fidelity Investments
Massachusetts
$205M +$560K +12,508 +0.3%
Vanguard Group
2
Vanguard Group
Pennsylvania
$181M +$7.04M +157,230 +4%
Dimensional Fund Advisors
3
Dimensional Fund Advisors
Texas
$173M +$2.5M +55,743 +1%
AllianceBernstein
4
AllianceBernstein
Tennessee
$108M +$3.22M +71,906 +3%
SCM
5
Sterling Capital Management
North Carolina
$107M -$18.6M -414,104 -15%
BIT
6
BlackRock Institutional Trust
California
$85.9M -$14.4M -321,422 -15%
State Street
7
State Street
Massachusetts
$85M -$3.48M -77,726 -4%
BFA
8
BlackRock Fund Advisors
California
$84.1M +$6.08M +135,787 +8%
Hotchkis & Wiley Capital Management
9
Hotchkis & Wiley Capital Management
California
$74.8M +$3.07M +68,596 +4%
PSAMP
10
P. Schoenfeld Asset Management (PSAM)
New York
$66.7M +$65.8M +1,469,000 New
Franklin Resources
11
Franklin Resources
California
$66.2M -$2.93M -65,300 -4%
VNIM
12
Vaughan Nelson Investment Management
Texas
$60.7M -$1.38M -30,825 -2%
Norges Bank
13
Norges Bank
Norway
$58.1M +$26.8M +597,564 +88%
Bank of New York Mellon
14
Bank of New York Mellon
New York
$46.5M -$2.53M -56,436 -5%
American Century Companies
15
American Century Companies
Missouri
$44.7M -$7.17M -159,947 -14%
Barclays
16
Barclays
United Kingdom
$43.9M +$43.2M +964,488 +9,079%
JP Morgan Chase
17
JP Morgan Chase
New York
$39.1M +$6.62M +147,764 +21%
FCM
18
Frontier Capital Management
Massachusetts
$37.9M -$16.3M -363,581 -30%
RA
19
Royce & Associates
New York
$37.9M -$19.7M -439,809 -35%
RFC
20
Russell Frank Company
Washington
$37.5M +$1.92M +42,808 +5%
LSV Asset Management
21
LSV Asset Management
Illinois
$37M +$739K +16,500 +2%
PMG
22
Private Management Group
California
$33.2M -$332K -7,419 -1%
Allianz Asset Management
23
Allianz Asset Management
Germany
$32M +$5.01M +111,799 +19%
Goldman Sachs
24
Goldman Sachs
New York
$31.8M +$15.1M +336,832 +93%
TAL
25
TIG Advisors LLC
New York
$30.3M +$29.9M +668,101 New