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Coca-Cola Consolidated

Name Holding Trade Value Shares
Change
Change in
Stake
PA
376
Parallel Advisors
California
$89.5K -$45.1K -360 -34%
QCG
377
Quadrant Capital Group
Ohio
$85.7K -$1.25K -10 -1%
HCM
378
Hollencrest Capital Management
California
$83.2K -$33.8K -270 -29%
IRC
379
Investors Research Corp
Georgia
$81.9K
FDCDDQ
380
Federation des caisses Desjardins du Quebec
Quebec, Canada
$78.1K +$31.3K +250 +68%
LSA
381
Leonteq Securities AG
Switzerland
$74.3K +$11.3K +90 +18%
QT
382
Quantbot Technologies
New York
$73.1K -$2.66M -21,270 -97%
WSFS
383
Wilmington Savings Fund Society
Delaware
$69.3K
UB
384
UMB Bank
Missouri
$64.3K +$8.76K +70 +16%
HPC
385
HM Payson & Co
Maine
$63K
T
386
Transce3nd
Texas
$63K +$62.6K +500 New
NRG
387
Nemes Rush Group
Michigan
$57.5K
Fifth Third Bancorp
388
Fifth Third Bancorp
Ohio
$55.4K +$3.76K +30 +7%
SIS
389
Strategic Investment Solutions
Illinois
$54.8K
QC
390
Quent Capital
New York
$54.2K
WWA
391
Wingate Wealth Advisors
Massachusetts
$51.7K +$51.3K +410 New
BCMLT
392
Beacon Capital Management LLC (Tennessee)
Tennessee
$50.4K
AF
393
Allworth Financial
California
$48K +$32.6K +260 +260%
PIM
394
Plato Investment Management
Australia
$46.8K -$77.6K -620 -63%
EAM
395
Eukles Asset Management
Ohio
$42.8K
SPIA
396
Steward Partners Investment Advisory
New York
$42.8K +$2.5K +20 +6%
SWM
397
Spire Wealth Management
Virginia
$40.3K
ITIM
398
Indiana Trust & Investment Management
Indiana
$37.8K
OPTFSNA
399
Old Point Trust & Financial Services N A
Virginia
$35.3K
VSQM
400
V-Square Quantitative Management
Illinois
$35.3K