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Name Holding Trade Value Shares
Change
Change in
Stake
BTS
151
BB&T Securities
Virginia
$447K +$319 +16 +0.1%
Nisa Investment Advisors
152
Nisa Investment Advisors
Missouri
$422K
MCM
153
Moore Capital Management
New York
$413K -$39.8K -2,000 -9%
CL
154
CSS LLC
Illinois
$413K
AG
155
Aperio Group
California
$413K +$5.26K +264 +1%
SW
156
SVB Wealth
Massachusetts
$413K +$398K +19,980 New
AIM
157
Allen Investment Management
New York
$409K +$394K +19,784 New
HSBC Holdings
158
HSBC Holdings
United Kingdom
$407K +$392K +19,694 New
MCM
159
Manchester Capital Management
Vermont
$404K
BPBT
160
Boston Private Bank & Trust
Massachusetts
$391K +$89.6K +4,500 +31%
HIM
161
Hillsdale Investment Management
Ontario, Canada
$380K +$79.7K +4,000 +28%
RFC
162
Russell Frank Company
Washington
$379K +$558 +28 +0.2%
1GA
163
1st Global Advisors
Texas
$377K +$18K +904 +5%
AB
164
Amalgamated Bank
New York
$366K +$558 +28 +0.2%
PP
165
PDT Partners
New York
$366K +$352K +17,696 New
CWM
166
Concert Wealth Management
California
$364K +$11.2K +562 +3%
LPL Financial
167
LPL Financial
California
$347K -$33.7K -1,694 -9%
VKH
168
Virtu KCG Holdings
New York
$335K -$289K -14,508 -47%
RIG
169
Roosevelt Investment Group
New York
$331K
AQR Capital Management
170
AQR Capital Management
Connecticut
$327K -$1.51M -75,946 -83%
Canada Life
171
Canada Life
Manitoba, Canada
$319K
HFS
172
HL Financial Services
Kentucky
$294K -$2.21M -111,232 -89%
ST
173
Spot Trading
Illinois
$293K -$227K -11,424 -45%
TIM
174
Thompson Investment Management
Wisconsin
$289K
Chevy Chase Trust
175
Chevy Chase Trust
Maryland
$286K -$239 -12 -0.1%