We are live on ! Find out more
BIRD icon

Smartbird Inc

Name Holding Trade Value Shares
Change
Change in
Stake
Franklin Resources
126
Franklin Resources
California
-$4.78M -98,723 Closed
Ameriprise
127
Ameriprise
Minnesota
-$4.03M -83,211 Closed
GIP
128
Granite Investment Partners
California
-$2.73M -56,392 Closed
TGM
129
Tenzing Global Management
California
-$2.66M -55,000 Closed
First Eagle Investment Management
130
First Eagle Investment Management
New York
-$1.23M -25,428 Closed
AM
131
AGF Management
Ontario, Canada
-$916K -18,924 Closed
CSS
132
Cubist Systematic Strategies
Connecticut
-$886K -18,314 Closed
HF
133
HRT Financial
New York
-$445K -9,198 Closed
E
134
Ergoteles
New York
-$359K -7,418 Closed
VVP
135
Venture Visionary Partners
Ohio
-$215K -4,452 Closed
AIM
136
Allen Investment Management
New York
-$178K -3,685 Closed
Envestnet Asset Management
137
Envestnet Asset Management
Illinois
-$175K -3,624 Closed
HSBC Holdings
138
HSBC Holdings
United Kingdom
-$158K -3,332 Closed
DC
139
Diametric Capital
Massachusetts
-$148K -3,065 Closed
WI
140
WrapManager Inc
California
-$141K -2,919 Closed
MIM
141
MetLife Investment Management
New Jersey
-$129K -2,659 Closed
Stifel Financial
142
Stifel Financial
Missouri
-$120K -2,470 Closed
AGM
143
Alpine Global Management
New York
-$112K -2,313 Closed
Millennium Management
144
Millennium Management
New York
-$110K -2,274 Closed
ONB
145
Old National Bancorp
Indiana
-$100K -2,071 Closed
ACM
146
Aquatic Capital Management
Illinois
-$95K -1,965 Closed
VF
147
Virtu Financial
New York
-$90K -1,868 Closed
TPA
148
Trivium Point Advisory
Connecticut
-$83.7K -1,759 Closed
Qube Research & Technologies (QRT)
149
Qube Research & Technologies (QRT)
United Kingdom
-$84.2K -1,740 Closed
Bank of Montreal
150
Bank of Montreal
Ontario, Canada
-$80.8K -1,663 Closed