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BrightSpring Health Services

Name Holding Trade Value Shares
Change
Change in
Stake
MIM
101
MetLife Investment Management
New Jersey
$3.01M +$367K +9,115 +15%
CCM
102
Cinctive Capital Management
New York
$2.99M +$1.47M +36,462 +108%
FG
103
Formula Growth
Quebec, Canada
$2.97M -$813K -20,187 -22%
RC
104
Renaissance Capital
Connecticut
$2.92M -$370K -9,186 -13%
Verition Fund Management
105
Verition Fund Management
Connecticut
$2.77M -$1.31M -32,415 -33%
LPL Financial
106
LPL Financial
California
$2.72M +$119K +2,945 +5%
Mirae Asset Global ETFs Holdings
107
Mirae Asset Global ETFs Holdings
Hong Kong
$2.58M +$353K +8,772 +17%
State of Tennessee, Department of Treasury
108
State of Tennessee, Department of Treasury
Tennessee
$2.54M +$437K +10,857 +22%
LSERS
109
Louisiana State Employees Retirement System
Louisiana
$2.5M +$270K +6,700 +13%
AWA
110
Arete Wealth Advisors
Illinois
$2.49M +$2.34M +58,047 New
Squarepoint
111
Squarepoint
New York
$2.48M -$5.44M -135,102 -70%
IMRF
112
Illinois Municipal Retirement Fund
Illinois
$2.48M -$135K -3,354 -5%
SBH
113
Segall Bryant & Hamill
Illinois
$2.46M -$2.56M -63,522 -52%
LSA
114
L & S Advisors
California
$2.42M -$797K -19,774 -26%
Vanguard Global Advisers
115
Vanguard Global Advisers
Pennsylvania
$2.4M +$2.27M +56,411 New
LCM
116
Legato Capital Management
California
$2.39M
State of New Jersey Common Pension Fund D
117
State of New Jersey Common Pension Fund D
New Jersey
$2.35M -$533K -13,242 -19%
AGP
118
Artia Global Partners
Florida
$2.29M +$491K +12,200 +29%
Susquehanna International Group
119
Susquehanna International Group
Pennsylvania
$2.27M +$1.6M +39,727 +294%
SGAM
120
Smith Group Asset Management
Texas
$2.27M +$37.3K +927 +2%
Bank of Montreal
121
Bank of Montreal
Ontario, Canada
$2.21M +$1.28M +31,842 +158%
RPAM
122
Rhenman & Partners Asset Management
Sweden
$2.13M -$5.96M -148,000 -75%
Barclays
123
Barclays
United Kingdom
$2.07M -$6.03M -149,801 -75%
Zurich Cantonal Bank
124
Zurich Cantonal Bank
Switzerland
$1.99M +$917K +22,762 +95%
XT
125
XTX Topco
Cayman Islands
$1.98M +$1.87M +46,398 New