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Coca-Cola Consolidated

Name Holding Trade Value Shares
Change
Change in
Stake
Millennium Management
351
Millennium Management
New York
-$3.36M -52,840 Closed
Citadel Advisors
352
Citadel Advisors
Florida
-$2.34M -36,750 Closed
ECM
353
Element Capital Management
New York
-$1.72M -27,070 Closed
Two Sigma Investments
354
Two Sigma Investments
New York
-$1.66M -26,060 Closed
TD Asset Management
355
TD Asset Management
Ontario, Canada
-$1.56M -24,500 Closed
ECM
356
ExodusPoint Capital Management
New York
-$911K -14,310 Closed
EP
357
Edgestream Partners
New Jersey
-$773K -12,150 Closed
NRD
358
Nebula Research & Development
New York
-$694K -10,900 Closed
Voloridge Investment Management
359
Voloridge Investment Management
Florida
-$582K -9,150 Closed
EGM
360
Engineers Gate Manager
New York
-$564K -8,860 Closed
DTL
361
Dynamic Technology Lab
Singapore
-$508K -7,980 Closed
TI
362
Trexquant Investment
Connecticut
-$507K -7,970 Closed
Axa
363
Axa
France
-$445K -7,000 Closed
SYBT
364
Stock Yards Bank & Trust
Kentucky
-$422K -6,630 Closed
I
365
InceptionR
California
-$378K -5,940 Closed
SEC
366
Seven Eight Capital
New York
-$356K -5,590 Closed
Walleye Capital
367
Walleye Capital
New York
-$331K -5,200 Closed
CL
368
CSS LLC
Illinois
-$317K -4,980 Closed
ACM
369
Aquatic Capital Management
Illinois
-$229K -3,600 Closed
B
370
Bailard
California
-$220K -3,460 Closed
CT
371
Colonial Trust
South Carolina
-$58.5K -920 Closed
MIA
372
Milestone Investment Advisors
Wisconsin
-$19.7K -310 Closed
CFD
373
Creative Financial Designs
Indiana
-$8.27K -130 Closed
HNB
374
Huntington National Bank
Ohio
-$7K -110 Closed
Fisher Asset Management
375
Fisher Asset Management
Washington
-$1.91K -30 Closed