We are live on ! Find out more
COKE icon

Coca-Cola Consolidated

Name Holding Trade Value Shares
Change
Change in
Stake
DM
426
Delphi Management
Massachusetts
-$1.43M -16,840 Closed
DFCM
427
Dark Forest Capital Management
Puerto Rico
-$1.33M -15,720 Closed
AIMCA
428
Alberta Investment Management Corp (AIMCo)
Alberta, Canada
-$1.27M -15,000 Closed
EGM
429
Engineers Gate Manager
New York
-$1.09M -12,850 Closed
NRD
430
Nebula Research & Development
New York
-$1.04M -12,270 Closed
VI
431
Versor Investments
New York
-$901K -10,650 Closed
VF
432
Virtu Financial
New York
-$890K -10,520 Closed
DTL
433
Dynamic Technology Lab
Singapore
-$721K -8,520 Closed
VIA
434
Virtus Investment Advisers
Connecticut
-$719K -8,490 Closed
OWM
435
OneAscent Wealth Management
Alabama
-$686K -8,100 Closed
MF
436
Magnetar Financial
Illinois
-$668K -7,890 Closed
Financial Engines Advisors
437
Financial Engines Advisors
California
-$603K -7,120 Closed
BAMF
438
BI Asset Management Fondsmaeglerselskab
Denmark
-$587K -6,940 Closed
HT
439
Headlands Technologies
Illinois
-$559K -6,600 Closed
CIP
440
Convergence Investment Partners
Florida
-$482K -5,700 Closed
AAM
441
Azzad Asset Management
Virginia
-$440K -5,190 Closed
FRM
442
Fox Run Management
Connecticut
-$368K -4,350 Closed
PTC
443
Petrus Trust Company
Texas
-$284K -3,360 Closed
PA
444
Profund Advisors
Maryland
-$244K -2,880 Closed
MG
445
Marex Group
-$239K -2,820 Closed
Cerity Partners
446
Cerity Partners
New York
-$218K -2,580 Closed
FIA
447
Foundations Investment Advisors
Arizona
-$218K -2,570 Closed
Aviva
448
Aviva
United Kingdom
-$217K -2,560 Closed
MLICM
449
Metropolitan Life Insurance Company (MetLife)
New York
-$212K -2,510 Closed
BF
450
BOK Financial
Oklahoma
-$144K -1,720 Closed