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Air Products & Chemicals

Name Holding Trade Value Shares
Change
Change in
Stake
US Bancorp
151
US Bancorp
Minnesota
$14.3M -$319K -2,614 -2%
MLICM
152
Metropolitan Life Insurance Company (MetLife)
New York
$14.2M -$1.69M -13,797 -10%
ABC
153
Associated Banc-Corp
Wisconsin
$14.1M -$23.5K -192 -0.2%
William Blair & Company
154
William Blair & Company
Illinois
$14M +$3.8M +31,119 +37%
SM
155
Stratton Management
Pennsylvania
$14M -$1.8M -14,702 -11%
GP
156
GLG Partners
United Kingdom
$14M +$12.9M +105,394 +974%
CA
157
Claar Advisors
New York
$13.7M
Korea Investment Corp
158
Korea Investment Corp
South Korea
$13.4M +$3.52M +28,797 +35%
AIG
159
American International Group
New York
$13.2M -$9.63M -78,822 -42%
Caisse de Depot et Placement du Quebec (CDPQ)
160
Caisse de Depot et Placement du Quebec (CDPQ)
Quebec, Canada
$13.2M -$1.94M -15,891 -13%
LI
161
LMCG Investments
Massachusetts
$13.1M +$1.21M +9,929 +10%
TG
162
TCW Group
California
$13.1M -$794K -6,500 -6%
EAM
163
EverPoint Asset Management
Connecticut
$13M +$10.6M +86,480 +400%
SCI
164
S&CO Inc
Massachusetts
$12.9M -$2.57M -21,033 -16%
Ameriprise
165
Ameriprise
Minnesota
$12.9M -$381K -3,118 -3%
SCI
166
Seneca Capital Investments
New York
$12.6M +$872K +7,135 +7%
PNC
167
Park National Corp
Ohio
$12.5M -$204K -1,669 -2%
BNP Paribas Financial Markets
168
BNP Paribas Financial Markets
France
$12.4M +$6.48M +53,037 +107%
LM
169
Luminus Management
Texas
$12.4M -$6.53M -53,466 -34%
GCC
170
Guardian Capital (Canada)
Ontario, Canada
$12.2M +$148K +1,215 +1%
GD
171
Grandfield & Dodd
New York
$12.1M -$11.9K -97 -0.1%
WG
172
Winton Group
United Kingdom
$11.8M +$11.9M +97,687 New
LCM
173
Lomas Capital Management
New York
$11.7M -$2.19M -17,944 -16%
TGHSA
174
TPG Group Holdings (SBS) Advisors
Texas
$11.6M +$11.7M +96,095 New
Aviva
175
Aviva
United Kingdom
$11.3M -$19.8K -162 -0.2%