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Charter Communications

Name Holding Trade Value Shares
Change
Change in
Stake
DT
651
Diversified Trust
Tennessee
$208K -$29.4K -72 -12%
Los Angeles Capital Management
652
Los Angeles Capital Management
California
$207K -$625K -1,533 -74%
SIM
653
Sentry Investment Management
Wisconsin
$207K -$23.2K -57 -10%
Federated Hermes
654
Federated Hermes
Pennsylvania
$206K -$144K -352 -40%
First Eagle Investment Management
655
First Eagle Investment Management
New York
$206K +$816 +2 +0.4%
WPC
656
Wedmont Private Capital
Pennsylvania
$205K -$13.9K -34 -6%
UB
657
UMB Bank
Missouri
$204K +$79.5K +195 +59%
EHC
658
Everett Harris & Co
California
$203K -$3.67K -9 -2%
AC
659
Avestar Capital
New York
$200K +$210K +515 New
NSIM
660
North Star Investment Management
Illinois
$194K
EWA
661
EverSource Wealth Advisors
Alabama
$192K +$8.97K +22 +5%
CG
662
Cutler Group
California
$191K -$37.5K -92 -16%
PA
663
Parallel Advisors
California
$190K -$10.2K -25 -5%
VSQM
664
V-Square Quantitative Management
Illinois
$183K
MHR
665
Matthew Hamilton Rosenberg
$183K +$134K +329 +233%
SC
666
Solstein Capital
California
$175K
CBT
667
Central Bank & Trust
Kentucky
$169K -$15.1K -37 -8%
AAP
668
Arax Advisory Partners
Colorado
$165K -$2.45K -6 -1%
HPC
669
HM Payson & Co
Maine
$157K -$7.75K -19 -4%
PFBT
670
Parkside Financial Bank & Trust
Missouri
$155K +$35.5K +87 +28%
CFG
671
CKW Financial Group
Hawaii
$155K
PIM
672
Platinum Investment Management
Australia
$149K +$25.3K +62 +19%
SAM
673
Shell Asset Management
Netherlands
$147K -$11.8K -29 -7%
WPWM
674
Western Pacific Wealth Management
Illinois
$144K +$5.3K +13 +4%
GI
675
GAMMA Investing
California
$140K +$154K +378 New