We are live on ! Find out more
AMD icon

Advanced Micro Devices

Name Holding Trade Value Shares
Change
Change in
Stake
IG
151
ING Group
Netherlands
$128M +$2.32M +13,295 +2%
SC
152
Samlyn Capital
New York
$126M +$55.7M +318,564 +83%
Royal London Asset Management
153
Royal London Asset Management
United Kingdom
$123M +$2.16M +12,359 +2%
BA
154
Bridgewater Associates
Connecticut
$123M +$119M +679,454 New
Allianz Asset Management
155
Allianz Asset Management
Germany
$121M -$38.7M -221,581 -25%
Asset Management One
156
Asset Management One
Japan
$120M -$5.63M -32,216 -5%
MSV
157
MN Services Vermogensbeheer
Netherlands
$117M -$19.7M -112,700 -15%
Natixis Advisors
158
Natixis Advisors
Massachusetts
$116M +$10.3M +58,831 +10%
Commonwealth Equity Services
159
Commonwealth Equity Services
Massachusetts
$116M -$963K -5,510 -0.8%
TAA
160
Turiya Advisors Asia
Hong Kong
$116M -$29.7M -170,000 -21%
Handelsbanken Fonder
161
Handelsbanken Fonder
Sweden
$116M +$5.36M +30,650 +5%
State of Tennessee, Department of Treasury
162
State of Tennessee, Department of Treasury
Tennessee
$114M -$5.32M -30,443 -5%
CIBC Private Wealth Group
163
CIBC Private Wealth Group
Georgia
$114M -$1.18M -6,763 -1%
SO
164
STRS Ohio
Ohio
$111M -$14.4M -82,436 -12%
UM
165
UniSuper Management
Australia
$111M +$203K +1,159 +0.2%
Wealth Enhancement Advisory Services
166
Wealth Enhancement Advisory Services
Minnesota
$111M -$492K -2,813 -0.5%
Balyasny Asset Management
167
Balyasny Asset Management
Illinois
$107M -$57.6M -329,298 -36%
AAMU
168
APG Asset Management US
New York
$105M +$43.9M +251,378 +78%
CAN
169
Cetera Advisor Networks
California
$105M +$12.1M +69,261 +13%
AIG
170
American International Group
New York
$103M -$1.53M -8,741 -2%
CI
171
Clal Insurance
Israel
$102M +$39.7M +227,000 +67%
Lazard Asset Management
172
Lazard Asset Management
New York
$102M -$57.7M -330,151 -37%
TAF
173
Tredje AP-fonden
Sweden
$101M +$19.1M +109,000 +24%
EQF
174
Evergreen Quality Fund
Cayman Islands
$101M +$97.8M +559,200 New
GC
175
Guggenheim Capital
Illinois
$101M -$1.43M -8,188 -1%