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Advanced Micro Devices

Name Holding Trade Value Shares
Change
Change in
Stake
GCP
226
GSA Capital Partners
United Kingdom
-$2.25M -659,914 Closed
Bank of Nova Scotia
227
Bank of Nova Scotia
Ontario, Canada
-$1.93M -565,001 Closed
Nomura Holdings
228
Nomura Holdings
Japan
-$1.65M -477,770 Closed
ACM
229
Argent Capital Management
Missouri
-$1.61M -472,800 Closed
BPGAM
230
BTG Pactual Global Asset Management
Bermuda
-$1.51M -444,000 Closed
PCM
231
Penn Capital Management
Pennsylvania
-$1.26M -370,837 Closed
TI
232
Turner Investments
Pennsylvania
-$1.23M -361,000 Closed
CG
233
Clinton Group
New York
-$1.06M -311,091 Closed
AMH
234
Apollo Management Holdings
New York
-$1.05M -250,000 Closed
OL
235
Orbitronix LP
California
-$682K -200,000 Closed
HHC
236
Hutchin Hill Capital
New York
-$635K -186,200 Closed
QSS
237
Quantitative Systematic Strategies
Florida
-$491K -138,269 Closed
FP
238
Foundry Partners
Minnesota
-$378K -110,776 Closed
QC
239
QCM Cayman
Texas
-$356K -104,291 Closed
JGC
240
J. Goldman & Co
New York
-$341K -100,000 Closed
RC
241
RBF Capital
California
-$341K -99,895 Closed
OAC
242
OMERS Administration Corp
Ontario, Canada
-$289K -84,700 Closed
HI
243
Horizon Investments
North Carolina
-$238K -69,826 Closed
FFS
244
Founders Financial Securities
Maryland
-$238K -69,785 Closed
CC
245
CQS Cayman
Cayman Islands
-$218K -64,020 Closed
Credit Agricole
246
Credit Agricole
France
-$204K -59,893 Closed
DTL
247
Dynamic Technology Lab
Singapore
-$188K -55,167 Closed
Mackenzie Financial
248
Mackenzie Financial
Ontario, Canada
-$127K -37,340 Closed
VAM
249
Visium Asset Management
New York
-$100K -29,400 Closed
CI
250
Cowen Inc
New York
-$85K -25,000 Closed