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Canadian National Railway

Name Holding Trade Value Shares
Change
Change in
Stake
Mirae Asset Global ETFs Holdings
701
Mirae Asset Global ETFs Holdings
Hong Kong
$49.9K -$13K -129 -20%
TFIPS
702
Towarzystwo Funduszy Inwestycyjnych PZU SA
$48.8K +$20.2K +200 +67%
PB
703
Pinnacle Bancorp
Nebraska
$47.7K
FMII
704
Farmers & Merchants Investments Inc
Nebraska
$45.2K
PTC
705
Private Trust Company
Ohio
$44.9K -$506 -5 -1%
ANBT
706
American National Bank & Trust
Texas
$43.9K
FHA
707
First Horizon Advisors
Tennessee
$43.7K -$5.26K -52 -10%
BIG
708
Brooklyn Investment Group
New York
$41.6K +$33.7K +333 +354%
SAM
709
Smartleaf Asset Management
Massachusetts
$39.1K -$26.1K -258 -39%
RMC
710
Resources Management Corp
Connecticut
$39K
CI
711
CX Institutional
Indiana
$39K +$40.4K +400 New
CA
712
Crewe Advisors
Utah
$39K
PWA
713
Provenance Wealth Advisors
Florida
$39K
MPWT
714
MassMutual Private Wealth & Trust
Connecticut
$38.1K -$42.2K -417 -52%
CTC
715
Central Trust Company
Missouri
$36.8K -$34.9K -345 -48%
KFP
716
Keener Financial Planning
Texas
$36K
PWA
717
Physician Wealth Advisors
Utah
$34K -$9.51K -94 -21%
BGAI
718
Bruce G. Allen Investments
Colorado
$33.7K +$10.7K +106 +44%
TSMHT
719
Thurston Springer Miller Herd & Titak
Indiana
$33.7K +$1.42K +14 +4%
KFI
720
Key Financial Inc
Pennsylvania
$33.1K
PPC
721
Park Place Capital
Alabama
$32.8K
CW
722
Curio Wealth
Maryland
$32.2K +$101 +1 New
FCAS
723
First Command Advisory Services
Texas
$32.2K
DI
724
DAGCO Inc
Ohio
$31.7K +$32.9K +325 New
AT
725
Arlington Trust
Alabama
$29.2K