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Name Holding Trade Value Shares
Change
Change in
Stake
AG
176
Aperio Group
California
$433K -$61.4K -775 -14%
PAM
177
Panagora Asset Management
Massachusetts
$416K -$5.36M -67,673 -94%
HHMI
178
Howard Hughes Medical Institute
Maryland
$396K +$242K +3,060 +231%
MVP
179
Miller Value Partners
Florida
$395K -$40.4M -510,619 -99%
BFG
180
Beacon Financial Group
Texas
$372K +$328K +4,138 New
RA
181
RFG Advisory
Alabama
$353K +$309K +3,907 New
CL
182
CSS LLC
Illinois
$346K
Canada Life
183
Canada Life
Manitoba, Canada
$346K +$69.2K +873 +29%
CSS
184
Cubist Systematic Strategies
Connecticut
$344K +$173K +2,189 +135%
YP
185
Yellowstone Partners
Idaho
$342K +$62.6K +790 +26%
SIM
186
Strategic Investment Management
Virginia
$326K -$30.7K -387 -10%
Prudential Financial
187
Prudential Financial
New Jersey
$326K
ACP
188
Aviance Capital Partners
Florida
$317K -$218K -2,756 -44%
SSG
189
Summit Securities Group
New York
$317K -$156K -1,975 -36%
AAM
190
Advisors Asset Management
Colorado
$299K -$9.19K -116 -3%
WS
191
Wedbush Securities
California
$280K +$19.8K +250 +9%
Renaissance Technologies
192
Renaissance Technologies
New York
$269K +$236K +2,975 New
LTFS
193
Ladenburg Thalmann Financial Services
Florida
$267K -$695K -8,777 -75%
BCM
194
Bluefin Capital Management
New York
$258K -$3.01K -38 -1%
CCMH
195
Cornerstone Capital Management Holdings
New York
$251K +$220K +2,778 New
NV
196
Nair Vinay
$250K +$219K +2,770 New
JMPWA
197
JP Morgan Private Wealth Advisors
California
$248K -$8.87K -112 -4%
HighTower Advisors
198
HighTower Advisors
Illinois
$246K +$216K +2,730 New
CP
199
Camelot Portfolios
Ohio
$234K -$1.43K -18 -0.7%
AIG
200
American International Group
New York
$231K -$65.4K -826 -24%