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CF Industries

Name Holding Trade Value Shares
Change
Change in
Stake
AC
526
Allstate Corporation
Illinois
– -$1.39M -30,890 Closed
PAM
527
Princeton Alpha Management
New Jersey
– -$1.17M -25,972 Closed
NIT
528
NumerixS Investment Technologies
British Columbia, Canada
– -$951K -21,182 Closed
QT
529
Quantbot Technologies
New York
– -$848K -18,899 Closed
EVM
530
Eaton Vance Management
Massachusetts
– -$785K -17,490 Closed
EGM
531
Engineers Gate Manager
New York
– -$777K -17,300 Closed
JT
532
Jump Trading
Illinois
– -$792K -16,809 Closed
Twin Tree Management
533
Twin Tree Management
Texas
– -$703K -14,914 Closed
Arrowstreet Capital
534
Arrowstreet Capital
Massachusetts
– -$651K -14,500 Closed
QIM
535
Quantitative Investment Management
Virginia
– -$646K -14,400 Closed
TCP
536
TAMRO Capital Partners
Virginia
– -$604K -13,460 Closed
Verition Fund Management
537
Verition Fund Management
Connecticut
– -$556K -12,381 Closed
QC
538
QCM Cayman
Texas
– -$494K -11,006 Closed
DTL
539
Dynamic Technology Lab
Singapore
– -$464K -10,518 Closed
CP
540
Cinque Partners
California
– -$471K -10,489 Closed
RC
541
RBF Capital
California
– -$449K -10,000 Closed
DADC
542
D.A. Davidson & Co
Montana
– -$378K -8,026 -100%
LCM
543
Laurion Capital Management
New York
– -$305K -6,800 Closed
FBFS
544
First Business Financial Services
Wisconsin
– -$299K -6,648 Closed
BOH
545
Bank of Hawaii
Hawaii
– -$297K -6,620 Closed
MYLI
546
Meiji Yasuda Life Insurance
Japan
– -$292K -6,500 Closed
CC
547
Cognios Capital
Kansas
– -$279K -6,230 Closed
Jane Street
548
Jane Street
New York
– -$283K -6,005 Closed
SW
549
SVB Wealth
Massachusetts
– -$263K -5,850 Closed
KIA
550
KCM Investment Advisors
California
– -$238K -5,298 Closed