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CDK

CDK Global, Inc.

Delisted

CDK was delisted on the 5th of July, 2022.

Name Holding Trade Value Shares
Change
Change in
Stake
ETC
26
Evercore Trust Company
New York
$58.2M -$3.5M -68,254 -6%
Goldman Sachs
27
Goldman Sachs
New York
$57M +$20.5M +399,604 +61%
AWG
28
Alpha Wave Global
New York
$54.2M -$49.8M -970,738 -49%
KCM
29
Kingdon Capital Management
New York
$53.9M -$8.99M -175,298 -15%
Geode Capital Management
30
Geode Capital Management
Massachusetts
$50.1M +$3.01M +58,731 +7%
BG
31
BlackRock Group
United Kingdom
$46.2M +$19M +370,794 +77%
TEC
32
Tiger Eye Capital
Tennessee
$42.4M +$36.9M +719,056 +1,097%
Bank of Montreal
33
Bank of Montreal
Ontario, Canada
$41.6M +$38.9M +758,007 +6,263%
BTP
34
Bloom Tree Partners
New York
$37.4M -$4.74M -92,468 -12%
CWM
35
CIBC World Markets
New York
$33.8M +$32.2M +627,000 New
Wells Fargo
36
Wells Fargo
California
$32.7M +$11M +214,467 +55%
Prudential Financial
37
Prudential Financial
New Jersey
$32.6M +$4.52M +88,060 +17%
AC
38
Ascend Capital
California
$32.5M +$3.79M +73,840 +14%
TCIM
39
TIAA CREF Investment Management
New York
$32M +$3.36M +65,543 +12%
Legal & General Group
40
Legal & General Group
United Kingdom
$31.4M +$758K +14,766 +3%
Franklin Resources
41
Franklin Resources
California
$31.2M -$602K -11,732 -2%
PNC Financial Services Group
42
PNC Financial Services Group
Pennsylvania
$26.4M -$372K -7,244 -1%
BIM
43
BlackRock Investment Management
Delaware
$24.1M +$761K +14,832 +3%
UOC
44
UBS O'Connor
Illinois
$24.1M -$3.22M -62,786 -12%
Ameriprise
45
Ameriprise
Minnesota
$23M +$87.6K +1,707 +0.4%
California Public Employees Retirement System
46
California Public Employees Retirement System
California
$21M -$1.59M -31,055 -7%
New York State Common Retirement Fund
47
New York State Common Retirement Fund
New York
$19.6M +$1.24M +24,085 +7%
JP Morgan Chase
48
JP Morgan Chase
New York
$19.2M +$6.36M +123,918 +53%
Sumitomo Mitsui Trust Group
49
Sumitomo Mitsui Trust Group
Japan
$18.9M +$17.9M +349,362 New
HCMT
50
Highland Capital Management (Texas)
Texas
$17.9M -$3.91M -76,204 -19%