We are live on ! Find out more
BGS icon

B&G Foods

Name Holding Trade Value Shares
Change
Change in
Stake
BlackRock
1
BlackRock
New York
$184M +$2.52M +131,015 +1%
Vanguard Group
2
Vanguard Group
Pennsylvania
$147M +$1.68M +87,676 +1%
CIP
3
Champlain Investment Partners
Vermont
$53.5M -$2.3M -119,710 -4%
CCMLC
4
Cardinal Capital Management LLC (Connecticut)
Connecticut
$46.7M +$2.3M +119,649 +5%
AssetMark Inc
5
AssetMark Inc
California
$38.8M +$9.56M +498,096 +32%
State Street
6
State Street
Massachusetts
$38.1M -$3.07M -159,969 -8%
Wellington Management Group
7
Wellington Management Group
Massachusetts
$36.3M +$9.89M +515,049 +37%
Dimensional Fund Advisors
8
Dimensional Fund Advisors
Texas
$32M -$113K -5,880 -0.3%
Diamond Hill Capital Management
9
Diamond Hill Capital Management
Ohio
$30.3M +$1.59M +82,921 +5%
Bank of New York Mellon
10
Bank of New York Mellon
New York
$27.6M -$393K -20,465 -1%
Arrowstreet Capital
11
Arrowstreet Capital
Massachusetts
$20M +$20.3M +1,059,689 New
Geode Capital Management
12
Geode Capital Management
Massachusetts
$19.1M +$3.8M +198,103 +24%
Citadel Advisors
13
Citadel Advisors
Florida
$18.5M +$18.1M +941,461 +2,523%
Fidelity Investments
14
Fidelity Investments
Massachusetts
$17.4M +$17.7M +920,448 +84,367%
Charles Schwab
15
Charles Schwab
California
$16.8M +$1.38M +72,022 +9%
Northern Trust
16
Northern Trust
Illinois
$16.5M +$79.7K +4,152 +0.5%
UBS Group
17
UBS Group
Switzerland
$15.3M +$3.2M +166,427 +26%
AAM
18
Advisors Asset Management
Colorado
$14.6M -$879K -45,790 -6%
WCM
19
Wedge Capital Management
North Carolina
$12.9M -$83.7K -4,360 -0.6%
SG Americas Securities
20
SG Americas Securities
New York
$12.7M +$10.2M +530,350 +375%
Morgan Stanley
21
Morgan Stanley
New York
$12.7M -$1.6M -83,429 -11%
Jennison Associates
22
Jennison Associates
New York
$12.3M -$414K -21,541 -3%
D.E. Shaw & Co
23
D.E. Shaw & Co
New York
$12M +$10.5M +549,468 +655%
KCM
24
Kornitzer Capital Management
Kansas
$11.4M +$699K +36,405 +6%
Principal Financial Group
25
Principal Financial Group
Iowa
$10.7M -$44.3M -2,308,751 -80%