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Coca-Cola Consolidated

Name Holding Trade Value Shares
Change
Change in
Stake
First Trust Advisors
51
First Trust Advisors
Illinois
$332K +$4.45K +580 +2%
MLICM
52
Metropolitan Life Insurance Company (MetLife)
New York
$322K
AllianceBernstein
53
AllianceBernstein
Tennessee
$315K -$153K -20,000 -35%
MC
54
Menta Capital
California
$306K -$323K -42,150 -54%
BA
55
BlackRock Advisors
Delaware
$272K +$6.9K +900 +3%
EMG
56
Ellington Management Group
Connecticut
$272K +$245K +32,000 New
AIG
57
American International Group
New York
$269K +$5.82K +760 +2%
GC
58
Globeflex Capital
California
$246K
Citigroup
59
Citigroup
New York
$229K -$67.3K -8,780 -25%
DTL
60
Dynamic Technology Lab
Singapore
$227K +$205K +26,700 New
SG Americas Securities
61
SG Americas Securities
New York
$225K +$203K +26,500 New
HCM
62
Hollencrest Capital Management
California
$213K +$192K +25,050 New
SCM
63
Stevens Capital Management
Pennsylvania
$211K +$190K +24,780 New
BEAM
64
Baker Ellis Asset Management
Washington
$176K -$76.6K -10,000 -33%
Fifth Third Bancorp
65
Fifth Third Bancorp
Ohio
$170K
Bank of America
66
Bank of America
North Carolina
$158K +$21K +2,740 +17%
Morgan Stanley
67
Morgan Stanley
New York
$114K -$676K -88,220 -87%
U
68
UBS
Switzerland
$99K +$16.3K +2,130 +22%
BG
69
BlackRock Group
United Kingdom
$89K
PAM
70
Panagora Asset Management
Massachusetts
$75K
Canada Life
71
Canada Life
Manitoba, Canada
$70K
AC
72
Alexandria Capital
Virginia
$42K
SMG
73
Spectrum Management Group
Indiana
$42K
Wells Fargo
74
Wells Fargo
California
$35K +$690 +90 +2%
Bank of Montreal
75
Bank of Montreal
Ontario, Canada
$34K +$77 +10 +0.2%