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Name Holding Trade Value Shares
Change
Change in
Stake
11A
176
10-15 Associates
New York
$854K -$50.9K -1,116 -6%
ACI
177
AMP Capital Investors
Australia
$853K +$807K +17,712 New
AP
178
Advisor Partners
California
$848K -$3.19K -70 -0.4%
RM
179
Resource Management
Louisiana
$828K -$37.2K -816 -5%
BCP
180
Berkeley Capital Partners
Georgia
$823K -$30.6K -672 -4%
USGIU
181
U.S. Global Investors (USGI)
Texas
$820K +$766K +16,815 New
FIM
182
Freedom Investment Management
Connecticut
$816K -$136K -2,987 -15%
EAM
183
Eagle Asset Management
Florida
$816K -$90.4K -1,984 -11%
RCM
184
Radnor Capital Management
Pennsylvania
$797K
O
185
OppenheimerFunds
New York
$790K +$738K +16,198 New
LTFS
186
Ladenburg Thalmann Financial Services
Florida
$778K -$140K -3,070 -16%
GCC
187
Guardian Capital (Canada)
Ontario, Canada
$768K +$718K +15,750 New
FBC
188
Fairfield, Bush & Co
Connecticut
$736K -$347K -7,623 -34%
Brown Advisory
189
Brown Advisory
Maryland
$728K -$74.2K -1,628 -10%
CAG
190
Csenge Advisory Group
Florida
$706K +$661K +14,491 New
B
191
Bellecapital
Switzerland
$704K +$7.57K +166 +1%
Mirae Asset Global Investments
192
Mirae Asset Global Investments
South Korea
$684K -$159K -3,492 -20%
Nomura Holdings
193
Nomura Holdings
Japan
$679K
M&T Bank
194
M&T Bank
New York
$652K -$21.5K -471 -3%
WIS
195
Wright Investors Service
Connecticut
$652K +$609K +13,370 New
VCA
196
Verdence Capital Advisors
Maryland
$638K -$356K -7,817 -37%
Twin Tree Management
197
Twin Tree Management
Texas
$614K -$2.35M -51,548 -80%
Russell Investments Group
198
Russell Investments Group
United Kingdom
$612K
CQS
199
Credential Qtrade Securities
$593K +$528K +11,594 +2,089%
SRC
200
Sage Rhino Capital
California
$589K +$551K +12,078 New