We are live on ! Find out more
AXP icon

American Express

Name Holding Trade Value Shares
Change
Change in
Stake
CCA
1326
Catalyst Capital Advisors
New York
-$447K -5,750 Closed
AL
1327
Aspiriant LLC
California
-$443K -5,696 Closed
CAM
1328
Congress Asset Management
Massachusetts
-$413K -5,313 Closed
Marshall Wace
1329
Marshall Wace
United Kingdom
-$403K -5,188 Closed
WC
1330
Wexford Capital
Florida
-$359K -4,620 Closed
GSBTD
1331
Glenview State Bank Trust Department
Illinois
-$340K -4,375 Closed
HHMI
1332
Howard Hughes Medical Institute
Maryland
-$338K -4,352 Closed
SSG
1333
Summit Securities Group
New York
-$319K -4,100 Closed
WA
1334
Wealth Architects
California
-$309K -3,972 Closed
SGH
1335
Schonfeld Group Holdings
New York
-$306K -3,941 Closed
PWW
1336
Pettyjohn Wood & White
Virginia
-$299K -3,850 Closed
PP
1337
Pegasus Partners
Wisconsin
-$280K -3,600 Closed
HVIA
1338
Hudson Valley Investment Advisors
New York
-$254K -3,270 Closed
CCG
1339
Chatham Capital Group
Georgia
-$229K -2,946 Closed
ZF
1340
Zhang Financial
Michigan
-$228K -2,940 Closed
FIM
1341
Frontier Investment Management
Texas
-$226K -2,913 Closed
MAM
1342
Martingale Asset Management
Massachusetts
-$220K -2,825 Closed
CHAM
1343
Clear Harbor Asset Management
Connecticut
-$215K -2,763 Closed
CD
1344
Carl Domino
Florida
-$209K -2,685 Closed
SFI
1345
SPC Financial Inc
Maryland
-$207K -2,660 Closed
FA
1346
Fagan Associates
New York
-$206K -2,645 Closed
EP
1347
Elkhorn Partners
Nebraska
-$202K -2,600 Closed
AP
1348
Appleton Partners
Massachusetts
-$202K -2,597 Closed
FNYS
1349
First New York Securities
New York
-$140K -1,800 Closed
SAM
1350
Shamrock Asset Management
Texas
-$83K -1,065 Closed