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BioMarin Pharmaceuticals

Name Holding Trade Value Shares
Change
Change in
Stake
NFGH
326
Nan Fung Group Holdings
Hong Kong
$507K
WPW
327
Waldron Private Wealth
Pennsylvania
$505K +$7.96K +100 +2%
1C
328
1623 Capital
Virginia
$497K -$214K -2,690 -31%
AC
329
Allstate Corporation
Illinois
$483K -$340K -4,274 -42%
EFM
330
E Fund Management
China
$483K +$183K +2,301 +65%
MC
331
Moors & Cabot
Massachusetts
$478K
O
332
Ossiam
France
$478K +$124K +1,559 +37%
MML Investors Services
333
MML Investors Services
Massachusetts
$477K -$238K -2,995 -34%
Commonwealth Equity Services
334
Commonwealth Equity Services
Massachusetts
$475K -$44K -553 -9%
PG
335
Pendal Group
Australia
$465K +$447K +5,615 New
CAN
336
Cetera Advisor Networks
California
$453K -$4.94K -62 -1%
KA
337
Kintegral Advisory
New York
$432K +$8.76K +110 +2%
SOADOR
338
State of Alaska Department of Revenue
Alaska
$427K +$410K +5,155 New
WMA
339
Wealth Management Associates
New Jersey
$424K
OIA
340
OneDigital Investment Advisors
Kansas
$409K -$23K -289 -6%
PCM
341
Penn Capital Management
Pennsylvania
$406K +$72.1K +906 +23%
BAMF
342
BI Asset Management Fondsmaeglerselskab
Denmark
$405K
FTDI
343
First Trust Direct Indexing
Massachusetts
$400K +$44.5K +559 +13%
Bank of Nova Scotia
344
Bank of Nova Scotia
Ontario, Canada
$399K -$98.6K -1,238 -21%
TI
345
Tidal Investments
Wisconsin
$395K -$1.99K -25 -0.5%
TPW
346
Transatlantique Private Wealth
New York
$385K +$370K +4,648 New
EP
347
Edgestream Partners
New Jersey
$380K -$965K -12,115 -73%
CB
348
Commerce Bank
Missouri
$376K -$70.5K -885 -16%
GCM
349
Graham Capital Management
Connecticut
$372K -$1.03M -12,977 -74%
SG
350
Stonnington Group
California
$371K +$95.5K +1,200 +40%