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Affiliated Managers Group

Name Holding Trade Value Shares
Change
Change in
Stake
California Public Employees Retirement System
51
California Public Employees Retirement System
California
$11.5M -$424K -3,157 -4%
WCM
52
Wallace Capital Management
Texas
$10.8M -$245K -1,821 -2%
Wells Fargo
53
Wells Fargo
California
$10.7M +$826K +6,146 +9%
Swiss National Bank
54
Swiss National Bank
Switzerland
$10.5M -$1.38M -10,300 -13%
T. Rowe Price Associates
55
T. Rowe Price Associates
Maryland
$10.3M +$1.29M +9,575 +16%
PCH
56
Polar Capital Holdings
United Kingdom
$10.1M -$2.78M -20,703 -24%
Fisher Asset Management
57
Fisher Asset Management
Washington
$9.53M -$699K -5,204 -8%
CIM
58
Cambria Investment Management
California
$9.53M +$1.12M +8,320 +15%
WMSA
59
Weiss Multi-Strategy Advisers
New York
$9.52M +$4.27M +31,744 +102%
CS
60
Credit Suisse
Switzerland
$9.34M +$336K +2,502 +4%
PL
61
Parkwood LLC
Ohio
$8.9M -$531K -3,950 -6%
AllianceBernstein
62
AllianceBernstein
Tennessee
$8.65M +$48.2K +359 +0.6%
Canada Pension Plan Investment Board
63
Canada Pension Plan Investment Board
Ontario, Canada
$8.4M +$1.38M +10,300 +23%
PCM
64
Penn Capital Management
Pennsylvania
$8.22M +$7.26M +54,068 New
New York State Teachers Retirement System (NYSTRS)
65
New York State Teachers Retirement System (NYSTRS)
New York
$7.9M -$123K -919 -2%
Legal & General Group
66
Legal & General Group
United Kingdom
$7.86M -$274K -2,040 -4%
Los Angeles Capital Management
67
Los Angeles Capital Management
California
$7.74M -$56.8K -423 -0.8%
AG
68
Algert Global
California
$7.41M +$1.37M +10,233 +26%
Ameriprise
69
Ameriprise
Minnesota
$7.24M -$67.6K -503 -1%
BGIM
70
Brandywine Global Investment Management
Pennsylvania
$7.21M +$1.58M +11,750 +33%
UBS Group
71
UBS Group
Switzerland
$7.14M -$216K -1,608 -3%
Franklin Resources
72
Franklin Resources
California
$7.09M -$8.73K -65 -0.1%
AIG
73
American International Group
New York
$6.92M -$498K -3,708 -8%
SSA
74
Schonfeld Strategic Advisors
New York
$6.7M -$4.16M -30,987 -41%
Deutsche Bank
75
Deutsche Bank
Germany
$6.7M -$319K -2,373 -5%