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BLD

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Delisted

BLD was delisted on the 30th of June, 2026.

Name Holding Trade Value Shares
Change
Change in
Stake
Northern Trust
26
Northern Trust
Illinois
$45.2M -$2.18M -11,909 -4%
Ameriprise
27
Ameriprise
Minnesota
$40.6M -$1.07M -5,831 -2%
Citadel Advisors
28
Citadel Advisors
Florida
$36.3M +$5.61M +30,652 +16%
Morgan Stanley
29
Morgan Stanley
New York
$33.4M +$18.3M +99,738 +100%
Goldman Sachs
30
Goldman Sachs
New York
$31.6M +$194K +1,058 +0.6%
JP Morgan Chase
31
JP Morgan Chase
New York
$30.6M +$19.7M +107,509 +142%
Wellington Management Group
32
Wellington Management Group
Massachusetts
$30.5M -$457K -2,497 -1%
CS
33
Candriam SCA
Luxembourg
$30.2M +$3.73M +20,400 +13%
Millennium Management
34
Millennium Management
New York
$28.8M +$29.8M +162,946 +1,764%
Fiera Capital (Canada)
35
Fiera Capital (Canada)
Quebec, Canada
$28.6M -$641K -3,502 -2%
Royal London Asset Management
36
Royal London Asset Management
United Kingdom
$28M +$22.6M +123,572 +282%
Mirae Asset Global Investments
37
Mirae Asset Global Investments
South Korea
$26.5M -$4.36M -23,798 -13%
DZ Bank
38
DZ Bank
Germany
$26.1M -$4.14M -22,626 -13%
Lazard Asset Management
39
Lazard Asset Management
New York
$24.1M +$408K +2,230 +2%
Principal Financial Group
40
Principal Financial Group
Iowa
$21.7M +$3.3M +18,012 +16%
BCAM
41
Boston Common Asset Management
Massachusetts
$21.7M +$788K +4,305 +3%
Schroder Investment Management Group
42
Schroder Investment Management Group
United Kingdom
$19.3M +$1.32M +7,190 +7%
NIG
43
NFJ Investment Group
Texas
$17.5M +$1.9M +10,401 +11%
Nuveen
44
Nuveen
North Carolina
$17M -$1.3M -7,116 -7%
UBS AM
45
UBS AM
Illinois
$16M -$8.01M -43,791 -31%
New York State Common Retirement Fund
46
New York State Common Retirement Fund
New York
$15.2M -$1.75M -9,562 -9%
RhumbLine Advisers
47
RhumbLine Advisers
Massachusetts
$15.2M +$1.35M +7,401 +9%
Retirement Systems of Alabama
48
Retirement Systems of Alabama
Alabama
$14.4M -$4.21K -23 -0%
N
49
Natixis
France
$13.7M +$15M +81,860 New
RIM
50
Ranger Investment Management
Texas
$13.5M -$333K -1,820 -2%