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CMRC

Commerce.com Inc Series 1

Name Holding Trade Value Shares
Change
Change in
Stake
Royal Bank of Canada
51
Royal Bank of Canada
Ontario, Canada
$574K -$3.02K -458 -0.5%
UBS AM
52
UBS AM
Illinois
$539K -$173K -26,232 -22%
NRD
53
Nebula Research & Development
New York
$514K +$334K +50,639 +136%
KCM
54
Kornitzer Capital Management
Kansas
$500K
UBS Group
55
UBS Group
Switzerland
$495K -$79 -12 -0%
AllianceBernstein
56
AllianceBernstein
Tennessee
$477K -$51.5K -7,800 -9%
Corient Private Wealth
57
Corient Private Wealth
Florida
$455K
Russell Investments Group
58
Russell Investments Group
United Kingdom
$441K -$4.13K -626 -0.8%
HCM
59
Horrell Capital Management
Arkansas
$439K +$495K +75,000 New
CG
60
Circumference Group
Arkansas
$439K +$495K +75,000 New
Legal & General Group
61
Legal & General Group
United Kingdom
$437K +$2.57K +389 +0.5%
Mirae Asset Global ETFs Holdings
62
Mirae Asset Global ETFs Holdings
Hong Kong
$388K -$51.8K -7,858 -11%
California State Teachers Retirement System (CalSTRS)
63
California State Teachers Retirement System (CalSTRS)
California
$365K -$9.53K -1,444 -2%
T. Rowe Price Associates
64
T. Rowe Price Associates
Maryland
$352K
EGM
65
Engineers Gate Manager
New York
$334K +$376K +57,051 New
Squarepoint
66
Squarepoint
New York
$332K +$375K +56,762 New
JP Morgan Chase
67
JP Morgan Chase
New York
$331K -$362K -54,920 -49%
Susquehanna International Group
68
Susquehanna International Group
Pennsylvania
$310K -$34.4K -5,216 -9%
Citigroup
69
Citigroup
New York
$298K +$175K +26,466 +108%
LPL Financial
70
LPL Financial
California
$231K -$31.2K -4,722 -11%
MIM
71
MetLife Investment Management
New Jersey
$229K
CF
72
Corebridge Financial
Texas
$221K -$1.53K -232 -0.6%
AI
73
Atom Investors
Texas
$173K +$195K +29,569 New
Walleye Capital
74
Walleye Capital
New York
$170K +$192K +29,056 New
Wells Fargo
75
Wells Fargo
California
$165K -$6.98K -1,058 -4%