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AMTI

Applied Molecular Transport Inc. Common Stock

Delisted

AMTI was delisted on the 26th of December, 2023.

Name Holding Trade Value Shares
Change
Change in
Stake
ECG
1
EPIQ Capital Group
California
$127M +$1.31M +66,433 +0.7%
Capital World Investors
2
Capital World Investors
California
$59.1M
FFVM
3
Founders Fund V Management
California
$50.4M
BlackRock
4
BlackRock
New York
$27.1M +$1.26M +64,034 +3%
Vanguard Group
5
Vanguard Group
Pennsylvania
$14.4M -$53.1K -2,696 -0.3%
FFVM
6
Founders Fund VI Management
California
$11.6M +$16.3M +826,607 New
Capital International Investors
7
Capital International Investors
California
$10.8M
Millennium Management
8
Millennium Management
New York
$7.79M +$8.65M +438,829 +371%
Morgan Stanley
9
Morgan Stanley
New York
$7.62M +$6.55M +332,412 +156%
State Street
10
State Street
Massachusetts
$5.98M -$16.2M -824,312 -66%
Franklin Resources
11
Franklin Resources
California
$5.72M -$12M -608,499 -60%
EC
12
EcoR1 Capital
California
$5.59M +$7.89M +400,000 New
Geode Capital Management
13
Geode Capital Management
Massachusetts
$5.1M +$564K +28,627 +9%
Two Sigma Advisers
14
Two Sigma Advisers
New York
$4.19M +$3.92M +198,700 +196%
Two Sigma Investments
15
Two Sigma Investments
New York
$4.12M +$3.1M +157,136 +114%
PHAM
16
Pacific Heights Asset Management
California
$4.05M +$789K +40,000 +16%
Northern Trust
17
Northern Trust
Illinois
$3.33M -$64.4K -3,266 -1%
Citadel Advisors
18
Citadel Advisors
Florida
$2.6M +$263K +13,325 +8%
Renaissance Technologies
19
Renaissance Technologies
New York
$2.43M +$2.78M +141,100 +434%
Charles Schwab
20
Charles Schwab
California
$1.89M +$29.5K +1,496 +1%
Goldman Sachs
21
Goldman Sachs
New York
$1.82M +$1.06M +53,912 +70%
Bank of America
22
Bank of America
North Carolina
$1.64M +$2.13M +107,803 +1,173%
D.E. Shaw & Co
23
D.E. Shaw & Co
New York
$1.53M +$1.15M +58,377 +113%
MCM
24
Moore Capital Management
New York
$1.4M +$1.97M +100,000 New
BC
25
Burleson & Co
California
$1.22M -$529K -26,815 -23%