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ALXN

Alexion Pharmaceuticals
ALXN

Delisted

ALXN was delisted on the 20th of July, 2021.

Name Holding Trade Value Shares
Change
Change in
Stake
Franklin Resources
51
Franklin Resources
California
$82M -$43.6M -407,545 -35%
Citigroup
52
Citigroup
New York
$81M -$6.63M -61,973 -8%
Swiss National Bank
53
Swiss National Bank
Switzerland
$76.5M -$3.58M -33,500 -5%
Axa
54
Axa
France
$74.8M -$485K -4,530 -0.7%
Calamos Advisors
55
Calamos Advisors
Illinois
$74M +$10.9M +102,242 +18%
LSV Asset Management
56
LSV Asset Management
Illinois
$72.5M +$70.8M +661,950 +7,522%
Prudential Financial
57
Prudential Financial
New Jersey
$72.3M -$574K -5,371 -0.8%
New York State Common Retirement Fund
58
New York State Common Retirement Fund
New York
$71.4M -$1.24M -11,570 -2%
EVM
59
Eaton Vance Management
Massachusetts
$66.1M +$5.99K +56 +0%
GT
60
Glenmede Trust
Pennsylvania
$65M +$62.2M +581,631 +2,995%
FMI
61
Factory Mutual Insurance
Massachusetts
$63.6M +$3.5M +32,700 +6%
CS
62
Candriam SCA
Luxembourg
$62.3M -$5.99M -55,972 -9%
SEI Investments
63
SEI Investments
Pennsylvania
$60.7M -$23.6M -220,884 -28%
Nomura Holdings
64
Nomura Holdings
Japan
$60.3M +$58.6M +547,852 +5,337%
Thrivent Financial for Lutherans
65
Thrivent Financial for Lutherans
Minnesota
$58.9M +$52.6M +491,787 +936%
California Public Employees Retirement System
66
California Public Employees Retirement System
California
$56.2M +$5.36M +50,118 +11%
Susquehanna International Group
67
Susquehanna International Group
Pennsylvania
$53.6M +$7.14M +66,769 +16%
Barclays
68
Barclays
United Kingdom
$52.4M -$11.1M -103,943 -18%
SO
69
STRS Ohio
Ohio
$50.7M -$17.7M -165,672 -26%
Two Sigma Advisers
70
Two Sigma Advisers
New York
$50.5M +$44.5M +416,300 +826%
WorldQuant Millennium Advisors
71
WorldQuant Millennium Advisors
New York
$49.9M -$4.58M -42,795 -8%
RhumbLine Advisers
72
RhumbLine Advisers
Massachusetts
$48.5M +$329K +3,075 +0.7%
PC
73
Polar Capital
United Kingdom
$47.1M +$11.9M +110,934 +34%
TCM
74
Tekla Capital Management
Massachusetts
$47.1M -$1.93M -18,073 -4%
TG
75
TCW Group
California
$44.5M -$4.09M -38,197 -8%