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CVET

Covetrus, Inc. Common Stock

Delisted

CVET was delisted on the 12th of October, 2022.

Name Holding Trade Value Shares
Change
Change in
Stake
AB
101
Amalgamated Bank
New York
$901K +$10.2K +445 +0.9%
AC
102
Allstate Corporation
Illinois
$873K +$54.3K +2,369 +5%
SEI Investments
103
SEI Investments
Pennsylvania
$867K +$185K +8,078 +21%
PMAM
104
Picton Mahoney Asset Management
Ontario, Canada
$859K -$9.17K -400 -0.8%
PNC Financial Services Group
105
PNC Financial Services Group
Pennsylvania
$828K +$12.4K +542 +1%
Two Sigma Advisers
106
Two Sigma Advisers
New York
$824K +$1.04M +45,400 New
CIC
107
Cornercap Investment Counsel
Georgia
$800K +$321K +13,988 +46%
VRS
108
Virginia Retirement Systems
Virginia
$780K -$140K -6,100 -12%
State of Tennessee, Department of Treasury
109
State of Tennessee, Department of Treasury
Tennessee
$758K -$231K -10,056 -19%
MSRPS
110
Maryland State Retirement & Pension System
Maryland
$748K +$931K +40,611 New
OPERF
111
Oregon Public Employees Retirement Fund
Oregon
$736K -$4.59K -200 -0.5%
ACM
112
AlphaCrest Capital Management
New York
$729K +$921K +40,182 New
QT
113
Quantbot Technologies
New York
$695K +$880K +38,359 New
JF
114
Jump Financial
Illinois
$685K +$865K +37,725 New
MIM
115
MetLife Investment Management
New Jersey
$667K
DAM
116
Deltec Asset Management
New York
$665K
LPL Financial
117
LPL Financial
California
$664K -$31.6K -1,376 -4%
BAM
118
Blueshift Asset Management
New Jersey
$662K +$95.6K +4,169 +13%
Tudor Investment Corp
119
Tudor Investment Corp
Connecticut
$660K +$418K +18,226 +100%
ECM
120
ExodusPoint Capital Management
New York
$658K +$831K +36,248 New
State Board of Administration of Florida Retirement System
121
State Board of Administration of Florida Retirement System
Florida
$655K
AQR Capital Management
122
AQR Capital Management
Connecticut
$602K -$285K -12,418 -27%
AG
123
Algert Global
California
$581K +$734K +32,018 New
Bank of Montreal
124
Bank of Montreal
Ontario, Canada
$563K -$24.9K -1,087 -3%
William Blair & Company
125
William Blair & Company
Illinois
$563K -$14.1K -616 -2%