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BLFS

BioLife Solutions
BLFS

Delisted

BLFS was delisted on the 5th of October, 2026.

Name Holding Trade Value Shares
Change
Change in
Stake
Northern Trust
26
Northern Trust
Illinois
$10.1M +$40.4K +1,544 +0.4%
RA
27
Royce & Associates
New York
$10.1M -$1.43M -54,839 -12%
Charles Schwab
28
Charles Schwab
California
$9.18M +$267K +10,206 +3%
CFM
29
Capricorn Fund Managers
United Kingdom
$9.15M +$9.91M +378,550 New
PCM
30
Peregrine Capital Management
Minnesota
$8.62M -$126K -4,799 -1%
New York State Common Retirement Fund
31
New York State Common Retirement Fund
New York
$7.22M – – –
GA
32
Gagnon Advisors
New York
$6.63M – – –
RIM
33
Ranger Investment Management
Texas
$6.54M -$514K -19,635 -7%
NCGI
34
Next Century Growth Investors
Minnesota
$6.36M -$27.1K -1,034 -0.4%
JP Morgan Chase
35
JP Morgan Chase
New York
$5.89M +$470K +17,946 +8%
UBS Group
36
UBS Group
Switzerland
$5.88M -$1.3M -49,601 -17%
SCA
37
Summit Creek Advisors
Minnesota
$5.77M +$1.22M +46,541 +24%
Goldman Sachs
38
Goldman Sachs
New York
$5.54M +$1.24M +47,222 +26%
Renaissance Technologies
39
Renaissance Technologies
New York
$5.43M +$850K +32,500 +17%
Envestnet Asset Management
40
Envestnet Asset Management
Illinois
$5.41M -$526K -20,086 -8%
HPM
41
Heights Point Management
New York
$5.26M +$5.69M +217,548 New
Bank of New York Mellon
42
Bank of New York Mellon
New York
$5.23M -$119K -4,562 -2%
UIC
43
Uniplan Investment Counsel
Wisconsin
$4.71M -$3.82K -146 -0.1%
Principal Financial Group
44
Principal Financial Group
Iowa
$4.51M -$24.9K -951 -0.5%
TD Asset Management
45
TD Asset Management
Ontario, Canada
$4.13M +$776K +29,638 +21%
D.E. Shaw & Co
46
D.E. Shaw & Co
New York
$4.02M -$3.12M -119,162 -42%
Russell Investments Group
47
Russell Investments Group
United Kingdom
$4.02M +$151K +5,779 +4%
IP
48
Isthmus Partners
Wisconsin
$3.35M +$16.3K +622 +0.5%
Public Sector Pension Investment Board (PSP Investments)
49
Public Sector Pension Investment Board (PSP Investments)
Quebec, Canada
$3.26M -$430K -16,443 -11%
Wells Fargo
50
Wells Fargo
California
$3.12M +$421K +16,086 +14%