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Coca-Cola Consolidated

Name Holding Trade Value Shares
Change
Change in
Stake
P
176
Pitcairn
Pennsylvania
$708K -$198K -2,300 -22%
ETC
177
Exchange Traded Concepts
Oklahoma
$704K -$90.5K -1,050 -11%
Pictet Asset Management
178
Pictet Asset Management
Switzerland
$695K +$150K +1,740 +27%
OWM
179
OneAscent Wealth Management
Alabama
$686K +$51.7K +600 +8%
OAC
180
OMERS Administration Corp
Ontario, Canada
$677K +$689K +8,000 New
BFA
181
Bragg Financial Advisors
North Carolina
$670K -$68.1K -790 -9%
MF
182
Magnetar Financial
Illinois
$668K +$680K +7,890 New
PAG
183
Private Advisor Group
New Jersey
$662K +$33.6K +390 +5%
TPI
184
Trust Point Inc
Wisconsin
$657K -$188K -2,180 -22%
QT
185
Quantbot Technologies
New York
$645K -$427K -4,960 -39%
KSWA
186
Kathleen S. Wright Associates
Pennsylvania
$645K
TI
187
Tidal Investments
Wisconsin
$626K +$123K +1,430 +24%
WAM
188
WNY Asset Management
New York
$621K
GC
189
Globeflex Capital
California
$612K -$1.72K -20 -0.3%
Financial Engines Advisors
190
Financial Engines Advisors
California
$603K +$614K +7,120 New
WG
191
Winton Group
United Kingdom
$602K +$125K +1,450 +26%
MPM
192
Meritage Portfolio Management
Kansas
$593K -$36.2K -420 -6%
BAMF
193
BI Asset Management Fondsmaeglerselskab
Denmark
$587K +$598K +6,940 New
KLCM
194
KG&L Capital Management
Louisiana
$580K +$93.1K +1,080 +19%
X
195
Xponance
Pennsylvania
$574K -$10.3K -120 -2%
HT
196
Headlands Technologies
Illinois
$559K +$456K +5,290 +404%
WPW
197
Warther Private Wealth
Ohio
$535K -$4.31K -50 -0.8%
VI
198
Vestcor Inc
New Brunswick, Canada
$527K
TCM
199
Towercrest Capital Management
Pennsylvania
$524K
SB
200
Strategic Blueprint
Georgia
$504K +$5.17K +60 +1%