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CLR

CONTINENTAL RESOURCES INC.

Delisted

CLR was delisted on the 22nd of November, 2022.

Name Holding Trade Value Shares
Change
Change in
Stake
LPL Financial
176
LPL Financial
California
$613K +$360K +11,251 +77%
SG Americas Securities
177
SG Americas Securities
New York
$599K -$391K -12,242 -32%
RJFSA
178
Raymond James Financial Services Advisors
Florida
$594K +$827K +25,864 New
Aristotle Capital Management
179
Aristotle Capital Management
California
$577K -$219K -6,855 -21%
Public Employees Retirement Association of Colorado
180
Public Employees Retirement Association of Colorado
Colorado
$545K +$767 +24 +0.1%
FAF
181
Fjarde Ap-fonden
Sweden
$543K -$87K -2,721 -10%
JIC
182
Johnson Investment Counsel
Ohio
$537K -$212K -6,635 -22%
PAM
183
Panagora Asset Management
Massachusetts
$531K +$544K +17,003 +278%
Squarepoint
184
Squarepoint
New York
$519K +$723K +22,600 New
HCP
185
Holt Capital Partners
Texas
$509K
IRF
186
IBM Retirement Fund
New York
$481K +$83.3K +2,605 +14%
BOC
187
Barbara Oil Co
Illinois
$460K
CA
188
Commerzbank Aktiengesellschaft
Germany
$458K -$3.08M -96,363 -83%
Commonwealth Equity Services
189
Commonwealth Equity Services
Massachusetts
$458K +$140K +4,384 +28%
Tudor Investment Corp
190
Tudor Investment Corp
Connecticut
$447K +$622K +19,443 New
JP Morgan Chase
191
JP Morgan Chase
New York
$444K +$138K +4,309 +29%
AIM
192
Allen Investment Management
New York
$442K -$1.84M -57,422 -75%
COPPSERS
193
Commonwealth of Pennsylvania Public School Employees Retirement System
Pennsylvania
$437K +$373K +11,657 +158%
VanEck Associates
194
VanEck Associates
New York
$430K +$27.4K +857 +5%
DA
195
Dunvegan Associates
California
$412K -$295K -9,237 -34%
EMG
196
Ellington Management Group
Connecticut
$407K +$566K +17,700 New
ICOA
197
Investment Centers of America
North Dakota
$405K +$287K +8,981 +105%
CIBC Asset Management
198
CIBC Asset Management
Ontario, Canada
$403K +$16.8K +526 +3%
Asset Management One
199
Asset Management One
Japan
$395K +$112K +3,516 +26%
Brown Advisory
200
Brown Advisory
Maryland
$386K -$9.46K -296 -2%