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AMTD

TD Ameritrade Holding Corp
AMTD

Delisted

AMTD was delisted on the 5th of October, 2020.

Name Holding Trade Value Shares
Change
Change in
Stake
Royal London Asset Management
126
Royal London Asset Management
United Kingdom
$1.75M +$43.7K +1,535 +3%
Robeco Institutional Asset Management
127
Robeco Institutional Asset Management
Netherlands
$1.72M -$1.58M -55,545 -50%
Teacher Retirement System of Texas
128
Teacher Retirement System of Texas
Texas
$1.67M +$1.13M +39,592 +267%
HighTower Advisors
129
HighTower Advisors
Illinois
$1.64M +$102K +3,590 +7%
PNC Financial Services Group
130
PNC Financial Services Group
Pennsylvania
$1.61M -$44.4K -1,560 -3%
CGI
131
CI Global Investments
California
$1.53M +$1.42M +50,000 New
Nisa Investment Advisors
132
Nisa Investment Advisors
Missouri
$1.52M +$48.4K +1,700 +4%
BNP Paribas Financial Markets
133
BNP Paribas Financial Markets
France
$1.45M +$318K +11,173 +31%
Creative Planning
134
Creative Planning
Kansas
$1.45M +$113K +3,970 +9%
Mitsubishi UFJ Asset Management
135
Mitsubishi UFJ Asset Management
Japan
$1.43M -$100K -3,521 -7%
ECML
136
Eagle Capital Management (Louisiana)
Louisiana
$1.42M +$1.32M +46,350 New
Principal Financial Group
137
Principal Financial Group
Iowa
$1.41M -$506K -17,781 -28%
KIA
138
KCM Investment Advisors
California
$1.38M +$257K +9,041 +25%
ProShare Advisors
139
ProShare Advisors
Maryland
$1.32M -$14.9K -522 -1%
WAM
140
Wolverine Asset Management
Illinois
$1.32M +$478K +16,800 +64%
BTS
141
BB&T Securities
Virginia
$1.31M +$8.54K +300 +0.7%
URS
142
Utah Retirement Systems
Utah
$1.27M
QI
143
QS Investors
New York
$1.19M -$12M -420,800 -92%
STC
144
SEI Trust Company
Pennsylvania
$1.17M
U
145
UBS
Switzerland
$1.11M -$1.23M -43,141 -54%
PIP
146
Palisades Investment Partners
California
$1.1M +$376K +13,200 +58%
SKK
147
Shepherd Kaplan Krochuk
Massachusetts
$1.07M
NTCOC
148
Northern Trust Company of Connecticut
Connecticut
$1.07M +$991K +34,800 New
SAM
149
Shell Asset Management
Netherlands
$1.05M -$256K -9,009 -21%
BA
150
BlackRock Advisors
Delaware
$1.03M +$51.7K +1,816 +6%