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Amkor Technology

Name Holding Trade Value Shares
Change
Change in
Stake
QCM
226
QRG Capital Management
Illinois
$203K +$178K +9,648 New
OAM
227
OP Asset Management
$199K
HT
228
Headlands Technologies
Illinois
$198K -$169K -9,167 -49%
KIM
229
Kestra Investment Management
Texas
$189K +$140K +7,583 +534%
SAM
230
Securian Asset Management
Minnesota
$180K
Mirae Asset Global ETFs Holdings
231
Mirae Asset Global ETFs Holdings
Hong Kong
$170K +$10.6K +573 +8%
SG Americas Securities
232
SG Americas Securities
New York
$164K -$949K -51,437 -87%
1IA
233
1620 Investment Advisors
Massachusetts
$160K +$3.08K +167 +2%
EP
234
Essential Partners
California
$156K +$137K +7,434 New
GI
235
GAMMA Investing
California
$155K +$46.9K +2,543 +52%
VI
236
Vestcor Inc
New Brunswick, Canada
$153K -$458K -24,834 -77%
PHK
237
Point72 Hong Kong
Hong Kong
$145K +$127K +6,899 New
US Bancorp
238
US Bancorp
Minnesota
$139K -$21.9K -1,188 -15%
T
239
Transce3nd
Texas
$132K -$176K -9,560 -60%
Walleye Trading
240
Walleye Trading
New York
$131K +$115K +6,240 New
PD
241
Point72 (DIFC)
United Arab Emirates
$126K +$111K +6,001 New
PA
242
Parallel Advisors
California
$113K +$34.4K +1,863 +53%
PNC Financial Services Group
243
PNC Financial Services Group
Pennsylvania
$110K +$37.9K +2,052 +64%
ST
244
Smithfield Trust
Pennsylvania
$105K
FCAS
245
First Command Advisory Services
Texas
$98.7K
GIM
246
Glenmede Investment Management
Pennsylvania
$89.4K +$78.6K +4,261 New
Osaic Holdings
247
Osaic Holdings
Arizona
$87.8K +$50.5K +2,737 +189%
PCM
248
Palouse Capital Management
Washington
$84.2K
Nisa Investment Advisors
249
Nisa Investment Advisors
Missouri
$82.7K +$65.8K +3,564 +953%
SSG
250
Summit Securities Group
New York
$71.5K +$53.6K +2,905 +581%