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BioCryst Pharmaceuticals

Name Holding Trade Value Shares
Change
Change in
Stake
Connor, Clark & Lunn Investment Management (CC&L)
201
Connor, Clark & Lunn Investment Management (CC&L)
British Columbia, Canada
-$764K -48,352 Closed
Ameriprise
202
Ameriprise
Minnesota
-$751K -47,483 Closed
Qube Research & Technologies (QRT)
203
Qube Research & Technologies (QRT)
United Kingdom
-$640K -40,503 Closed
EGM
204
Engineers Gate Manager
New York
-$551K -34,820 Closed
VF
205
Virtu Financial
New York
-$540K -34,159 Closed
E
206
Ergoteles
New York
-$507K -32,062 Closed
NICM
207
Neo Ivy Capital Management
New York
-$277K -17,543 Closed
HSBC Holdings
208
HSBC Holdings
United Kingdom
-$246K -15,463 Closed
HS
209
HighVista Strategies
Massachusetts
-$242K -15,316 Closed
CAC
210
Cowen and Company
New York
-$237K -14,960 Closed
Verition Fund Management
211
Verition Fund Management
Connecticut
-$231K -14,634 Closed
OPS
212
Orion Portfolio Solutions
Nebraska
-$188K -11,864 Closed
YIH
213
Y-Intercept (HK)
Hong Kong
-$170K -10,737 Closed
QT
214
Quantamental Technologies
New York
-$161K -10,195 Closed
OC
215
Oppenheimer & Co
New York
-$158K -10,000 Closed
OSAM
216
O'Shaughnessy Asset Management
Connecticut
-$137K -8,663 Closed
ASN
217
Advisory Services Network
Georgia
-$77K -4,850 Closed
FDCDDQ
218
Federation des caisses Desjardins du Quebec
Quebec, Canada
-$75.9K -4,800 Closed
DFCM
219
Dark Forest Capital Management
Puerto Rico
-$30K -1,919 Closed
TCM
220
Tradewinds Capital Management
Washington
-$12K -750 Closed
PWP
221
Personal Wealth Partners
Minnesota
-$6K -390 Closed
GAM
222
Gemmer Asset Management
California
-$3K -200 Closed
HI
223
Harbour Investments
Wisconsin
+$32 +2 +40%
PA
224
Parallel Advisors
California
+$284 +18 New