We are live on ! Find out more
CNK icon

Cinemark Holdings

Name Holding Trade Value Shares
Change
Change in
Stake
Vanguard Group
1
Vanguard Group
Pennsylvania
$263M +$8.21M +258,653 +4%
BFA
2
BlackRock Fund Advisors
California
$220M +$18.1M +569,842 +10%
Capital World Investors
3
Capital World Investors
California
$204M +$53.9M +1,700,000 +43%
JP Morgan Chase
4
JP Morgan Chase
New York
$153M +$1.47M +46,294 +1%
Fidelity Investments
5
Fidelity Investments
Massachusetts
$151M +$3.81M +120,200 +3%
Wells Fargo
6
Wells Fargo
California
$148M -$15.5M -489,997 -11%
BIT
7
BlackRock Institutional Trust
California
$117M +$1.86M +58,524 +2%
State Street
8
State Street
Massachusetts
$103M +$1.67M +52,616 +2%
Bank of New York Mellon
9
Bank of New York Mellon
New York
$94.4M -$6.37M -200,903 -7%
OCM
10
Osterweis Capital Management
California
$89.3M +$44.2M +1,394,159 +127%
RRAM
11
River Road Asset Management
Kentucky
$80.3M +$29.1M +916,630 +69%
Renaissance Technologies
12
Renaissance Technologies
New York
$79.3M -$14.9M -468,700 -17%
Jennison Associates
13
Jennison Associates
New York
$78.7M -$52.1M -1,642,454 -43%
SAM
14
Silvercrest Asset Management
New York
$68M -$193K -6,071 -0.3%
Kayne Anderson Rudnick Investment Management
15
Kayne Anderson Rudnick Investment Management
California
$66.6M -$3.59M -113,199 -6%
1832 Asset Management
16
1832 Asset Management
Ontario, Canada
$63.2M +$26.8M +844,925 +377%
Wellington Management Group
17
Wellington Management Group
Massachusetts
$60.1M +$2.18M +68,571 +4%
SP
18
Sarasin & Partners
United Kingdom
$56.8M -$2.05M -64,490 -4%
Invesco
19
Invesco
Georgia
$56.4M -$8.1M -255,434 -14%
ACA
20
Anchor Capital Advisors
Massachusetts
$54.1M -$1.31M -41,305 -3%
CGI
21
Comgest Global Investors
France
$52.3M -$213K -6,700 -0.5%
Mawer Investment Management
22
Mawer Investment Management
Alberta, Canada
$49.8M -$59K -1,860 -0.1%
HCM
23
Hamlin Capital Management
New York
$48.3M +$8.03M +253,003 +23%
Ameriprise
24
Ameriprise
Minnesota
$45.5M -$9.63M -303,580 -19%
HCM
25
Hodges Capital Management
Texas
$41M -$1.02M -32,220 -3%