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CoStar Group

Name Holding Trade Value Shares
Change
Change in
Stake
SI
151
Stephens Inc
Arkansas
$887K +$73.6K +3,720 +10%
SSWM
152
Sheets Smith Wealth Management
North Carolina
$869K +$786K +39,750 New
HSBC Holdings
153
HSBC Holdings
United Kingdom
$868K -$81.1K -4,100 -9%
Canada Life
154
Canada Life
Manitoba, Canada
$823K
Pacer Advisors
155
Pacer Advisors
Pennsylvania
$801K +$603K +30,500 +500%
PHK
156
Point72 Hong Kong
Hong Kong
$768K +$694K +35,120 New
MAG
157
Millrace Asset Group
Pennsylvania
$765K +$692K +35,000 New
IRF
158
IBM Retirement Fund
New York
$706K -$11.9K -600 -2%
BOC
159
Barbara Oil Co
Illinois
$700K
First Trust Advisors
160
First Trust Advisors
Illinois
$689K -$866K -43,770 -58%
COI
161
Connable Office Inc
Michigan
$656K
AC
162
Alexandria Capital
Virginia
$620K
M&T Bank
163
M&T Bank
New York
$615K -$36.6K -1,850 -6%
AAM
164
Advisors Asset Management
Colorado
$586K +$530K +26,800 New
Bank of Montreal
165
Bank of Montreal
Ontario, Canada
$571K -$52.8K -2,670 -9%
Legal & General Group
166
Legal & General Group
United Kingdom
$564K +$67.2K +3,400 +15%
TAM
167
Tiverton Asset Management
Delaware
$561K +$26.1M +1,320,430 +241%
WBC
168
Westpac Banking Corp
Australia
$543K +$110K +5,560 +27%
SB
169
Suntrust Banks
Georgia
$534K +$30.1K +1,520 +7%
MLICM
170
Metropolitan Life Insurance Company (MetLife)
New York
$525K -$5.34K -270 -1%
DT
171
Diversified Trust
Tennessee
$501K +$453K +22,930 New
Prudential Financial
172
Prudential Financial
New Jersey
$498K +$19.8K +1,000 +5%
BUB
173
BBVA USA Bancshares
Texas
$480K +$5.74K +290 +1%
SSG
174
Summit Securities Group
New York
$465K -$73.8K -3,730 -15%
NIT
175
NumerixS Investment Technologies
British Columbia, Canada
$459K +$138K +7,000 +50%