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AIMC

Altra Industrial Motion Corp

Delisted

AIMC was delisted on the 24th of March, 2023.

Name Holding Trade Value Shares
Change
Change in
Stake
New York State Common Retirement Fund
51
New York State Common Retirement Fund
New York
$13.2M -$35.4M -675,015 -75%
KCM
52
Kennedy Capital Management
Missouri
$13M -$148K -2,824 -1%
DKCM
53
Davidson Kempner Capital Management
New York
$12.7M +$11.2M +212,741 New
Neuberger Berman Group
54
Neuberger Berman Group
New York
$12.6M +$10.6M +200,973 +2,193%
DAM
55
DLD Asset Management
New York
$12.5M +$11M +210,000 New
EA
56
Emerald Advisers
Pennsylvania
$12.3M -$703K -13,394 -6%
Loomis, Sayles & Company
57
Loomis, Sayles & Company
Massachusetts
$12.3M -$4.56M -86,819 -30%
HSBC Holdings
58
HSBC Holdings
United Kingdom
$12.2M +$10.2M +194,033 +1,883%
AAM
59
ACK Asset Management
Connecticut
$11.2M -$20.9M -397,729 -68%
Man Group
60
Man Group
United Kingdom
$10.6M +$9.34M +177,801 New
SEI Investments
61
SEI Investments
Pennsylvania
$10.6M -$12.5M -237,661 -57%
MS
62
Maven Securities
Jersey
$10.5M +$9.19M +175,000 New
GF
63
Gabelli Funds
New York
$10M +$8.8M +167,497 New
Janus Henderson Group
64
Janus Henderson Group
$10M +$8.11M +154,338 +1,174%
NYLIM
65
New York Life Investment Management
New York
$9.58M +$8.42M +160,288 New
AC
66
Armistice Capital
New York
$9.56M +$8.4M +160,000 New
Swiss National Bank
67
Swiss National Bank
Switzerland
$9.39M +$147K +2,800 +2%
Public Employees Retirement Association of Colorado
68
Public Employees Retirement Association of Colorado
Colorado
$9.04M -$12.4M -235,713 -61%
FCM
69
Farallon Capital Management
California
$8.44M +$7.42M +141,311 New
E
70
Ergoteles
New York
$8.3M +$7.3M +138,914 New
Verition Fund Management
71
Verition Fund Management
Connecticut
$8.27M +$7.27M +138,341 New
EMFAT
72
Emerald Mutual Fund Advisers Trust
Pennsylvania
$8.22M -$2.36M -45,000 -25%
HM
73
Harvest Management
New York
$7.77M +$6.83M +130,000 New
CS
74
Credit Suisse
Switzerland
$7.61M +$3.69M +70,345 +123%
Marshall Wace
75
Marshall Wace
United Kingdom
$7.59M +$6.67M +127,000 New