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Name Holding Trade Value Shares
Change
Change in
Stake
VKH
151
Virtu KCG Holdings
New York
$1.25M +$1.16M +21,918 +342%
Public Employees Retirement Association of Colorado
152
Public Employees Retirement Association of Colorado
Colorado
$1.21M -$28.4K -538 -2%
Franklin Resources
153
Franklin Resources
California
$1.18M -$51.1K -968 -3%
BCCM
154
Blue Clay Capital Management
Minnesota
$1.17M
DWM
155
Destination Wealth Management
California
$1.16M +$1.38M +26,226 New
SG Americas Securities
156
SG Americas Securities
New York
$1.13M -$1.4M -26,468 -51%
NSEDCP
157
NJ State Employees Deferred Compensation Plan
New Jersey
$1.1M
IRF
158
IBM Retirement Fund
New York
$1.08M -$6.38K -121 -0.5%
Canada Life
159
Canada Life
Manitoba, Canada
$1.05M +$43.7K +828 +4%
HSBC Holdings
160
HSBC Holdings
United Kingdom
$1.05M +$97.4K +1,847 +8%
PAMU
161
Pictet Asset Management (UK)
United Kingdom
$937K +$131K +2,487 +13%
CG
162
Clinton Group
New York
$932K +$1.12M +21,151 New
PP
163
Paloma Partners
Connecticut
$925K -$1.24M -23,466 -53%
GF
164
Gerstein Fisher
New York
$898K -$15K -284 -1%
JG
165
Jefferies Group
New York
$886K -$3.04M -57,699 -74%
URS
166
Utah Retirement Systems
Utah
$828K
HT
167
HAP Trading
New York
$756K -$175K -3,308 -16%
MTIM
168
Marathon Trading Investment Management
Pennsylvania
$752K +$715K +13,549 +387%
SCA
169
Secor Capital Advisors
New York
$752K +$900K +17,058 New
Royal Bank of Canada
170
Royal Bank of Canada
Ontario, Canada
$747K -$223K -4,225 -20%
AI
171
Advent International
Massachusetts
$706K +$844K +16,000 New
DI
172
Diligent Investors
California
$693K -$1.05K -20 -0.1%
BA
173
BlackRock Advisors
Delaware
$692K +$19.3K +365 +2%
BP
174
BBR Partners
New York
$661K
QT
175
Quantbot Technologies
New York
$622K +$745K +14,119 New