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Bio-Rad Laboratories Class A

Name Holding Trade Value Shares
Change
Change in
Stake
Envestnet Portfolio Solutions
251
Envestnet Portfolio Solutions
Illinois
$236K -$74.5K -315 -24%
BC
252
Bridgefront Capital
Texas
$234K -$113K -478 -33%
CAM
253
Claret Asset Management
Quebec, Canada
$231K +$225K +953 New
BHPW
254
Beverly Hills Private Wealth
California
$226K -$17.7K -75 -7%
IWS
255
Insight Wealth Strategies
California
$225K
Brown Advisory
256
Brown Advisory
Maryland
$224K -$37.1K -157 -14%
Marshall Wace
257
Marshall Wace
United Kingdom
$223K -$6.19M -26,169 -97%
WOSD
258
WFA of San Diego
California
$222K +$217K +920 New
MAM
259
Mystic Asset Management
Rhode Island
$217K
LCM
260
Laurion Capital Management
New York
$214K -$23.4K -99 -10%
MSRPS
261
Maryland State Retirement & Pension System
Maryland
$213K
ZIM
262
Zacks Investment Management
Illinois
$212K +$208K +879 New
Janney Montgomery Scott
263
Janney Montgomery Scott
Pennsylvania
$211K -$70.9K -300 -26%
TRCT
264
Tower Research Capital (TRC)
New York
$209K -$200K -847 -49%
BC
265
Brio Consultants
California
$208K -$103K -436 -34%
SG Americas Securities
266
SG Americas Securities
New York
$196K -$410K -1,736 -68%
GI
267
GAMMA Investing
California
$177K +$30K +127 +21%
GWM
268
Gitterman Wealth Management
New Jersey
$160K +$157K +664 New
RP
269
Rowlandmiller & Partners
Georgia
$159K -$1.89K -8 -1%
Group One Trading
270
Group One Trading
Illinois
$138K -$83.4K -353 -38%
SO
271
STRS Ohio
Ohio
$112K +$109K +463 New
HNB
272
Huntington National Bank
Ohio
$94.8K +$236 +1 +0.3%
PA
273
Parallel Advisors
California
$90K +$6.38K +27 +8%
CI Investments Inc
274
CI Investments Inc
Ontario, Canada
$82K -$2.36K -10 -3%
ACM
275
Aster Capital Management
United Arab Emirates
$71.7K -$507K -2,145 -88%