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Core Laboratories

Name Holding Trade Value Shares
Change
Change in
Stake
CG
126
Colony Group
Massachusetts
$3.64M +$1.34M +12,907 +66%
BCAM
127
Boston Common Asset Management
Massachusetts
$3.59M +$393K +3,786 +13%
Bank of Montreal
128
Bank of Montreal
Ontario, Canada
$3.57M +$141K +1,354 +4%
BA
129
BlackRock Advisors
Delaware
$3.54M -$41K -395 -1%
LAM
130
Lapides Asset Management
Connecticut
$3.52M -$31.2K -300 -0.9%
Barclays
131
Barclays
United Kingdom
$3.44M -$842K -8,100 -21%
WI
132
WHV Investments
California
$3.41M -$51.8M -498,169 -94%
MFWM
133
Motley Fool Wealth Management
Virginia
$3.33M +$269K +2,591 +10%
SIRP
134
Shelter Insurance Retirement Plan
Missouri
$3.09M +$2.86M +27,500 New
BlackRock
135
BlackRock
New York
$3.05M -$26K -250 -0.9%
Canada Pension Plan Investment Board
136
Canada Pension Plan Investment Board
Ontario, Canada
$2.98M
RHJA
137
Rice Hall James & Associates
California
$2.84M -$47.1K -453 -2%
Citigroup
138
Citigroup
New York
$2.82M +$227K +2,188 +10%
RFC
139
Regions Financial Corp
Alabama
$2.8M +$306K +2,945 +13%
Boston Partners
140
Boston Partners
Massachusetts
$2.76M +$597K +5,746 +31%
LH
141
Lebenthal Holdings
New York
$2.69M -$824K -7,934 -25%
EAM
142
Eagle Asset Management
Florida
$2.65M -$160K -1,539 -6%
Aviva
143
Aviva
United Kingdom
$2.49M -$6.23K -60 -0.3%
IAM
144
Impax Asset Management
New Hampshire
$2.39M -$943K -9,077 -30%
SCM
145
Snyder Capital Management
California
$2.37M
Comerica Bank
146
Comerica Bank
Texas
$2.29M -$299K -2,876 -12%
BNP Paribas Asset Management
147
BNP Paribas Asset Management
France
$2.26M +$51.9K +500 +3%
ACI
148
AMP Capital Investors
Australia
$2.25M +$655K +6,300 +47%
SRC
149
Stone Run Capital
New York
$2.16M -$113K -1,083 -5%
DDC
150
DF Dent & Co
Maryland
$2.13M -$503K -4,845 -20%