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Name Holding Trade Value Shares
Change
Change in
Stake
SCM
201
Shelton Capital Management
Colorado
$366K
Axa
202
Axa
France
$350K
Jane Street
203
Jane Street
New York
$348K +$384K +9,770 New
LPL Financial
204
LPL Financial
California
$343K -$462K -11,762 -55%
AB
205
Amalgamated Bank
New York
$341K -$354 -9 -0.1%
SBH
206
Segall Bryant & Hamill
Illinois
$341K
QIM
207
Quest Investment Management
Oregon
$311K
PCP
208
Perimeter Capital Partners
Georgia
$307K -$1.31M -33,349 -79%
WAM
209
World Asset Management
Michigan
$306K -$10.6K -271 -3%
BMCMI
210
Bryn Mawr Capital Management Inc
Pennsylvania
$296K +$327K +8,318 New
Canada Life
211
Canada Life
Manitoba, Canada
$285K +$114K +2,900 +57%
EMG
212
Ellington Management Group
Connecticut
$285K +$314K +8,000 New
Citigroup
213
Citigroup
New York
$284K +$18.7K +477 +6%
BJ
214
BlackRock Japan
Japan
$282K +$86.4K +2,199 +38%
Barclays
215
Barclays
United Kingdom
$281K +$165K +4,203 +110%
BA
216
Boston Advisors
Massachusetts
$278K +$33.4K +850 +12%
PAM
217
Princeton Alpha Management
New Jersey
$261K +$289K +7,343 New
MTIP
218
Magee Thomson Investment Partners
California
$255K -$111K -2,825 -28%
GCA
219
Gideon Capital Advisors
New York
$252K +$278K +7,070 New
MPAM
220
Monarch Partners Asset Management
Massachusetts
$243K
IRS
221
Invictus RG (Singapore)
Singapore
$215K +$237K +6,036 New
MIP
222
Marietta Investment Partners
Wisconsin
$210K +$232K +5,915 New
US Bancorp
223
US Bancorp
Minnesota
$209K -$150K -3,806 -39%
AP
224
AHL Partners
United Kingdom
$209K +$231K +5,875 New
QT
225
Quantbot Technologies
New York
$206K -$15.6K -397 -6%