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DD

Du Pont De Nemours E I

Delisted

DD was delisted on the 31st of August, 2017.

Name Holding Trade Value Shares
Change
Change in
Stake
GIBU
201
Gulf International Bank (UK)
United Kingdom
$19.3M +$279K +4,180 +2%
SAM
202
Shell Asset Management
Netherlands
$19.3M +$1.6M +23,891 +10%
BHWM
203
Bar Harbor Wealth Management
New Hampshire
$19.3M +$8.36K +125 +0%
PA
204
Pinnacle Associates
New York
$18.9M -$136K -2,041 -0.8%
TU
205
TDAM USA
Ontario, Canada
$18.8M -$240K -3,597 -1%
IAM
206
Impax Asset Management
New Hampshire
$18.7M +$37.8K +566 +0.2%
AG
207
Aperio Group
California
$18.7M +$946K +14,150 +6%
SPC
208
Stewart & Patten Company
California
$18.6M +$84.2K +1,259 +0.5%
SRC
209
Shufro Rose & Co
New York
$18.6M -$46.7K -699 -0.3%
MA
210
MUFG Americas
New York
$18.5M -$81.5K -1,220 -0.5%
State of Tennessee, Department of Treasury
211
State of Tennessee, Department of Treasury
Tennessee
$18.3M -$162K -2,422 -0.9%
Barrow, Hanley, Mewhinney & Strauss
212
Barrow, Hanley, Mewhinney & Strauss
Texas
$18.3M -$881M -13,180,080 -98%
D.E. Shaw & Co
213
D.E. Shaw & Co
New York
$17.3M +$14.9M +223,526 +961%
VFAM
214
Valley Forge Asset Management
Pennsylvania
$17.3M -$179K -2,673 -1%
HIMCH
215
Hartford Investment Management Co (HIMCO)
Connecticut
$17.2M -$941K -14,075 -5%
WT
216
Whittier Trust
California
$17.2M -$1.55M -23,212 -9%
CCMH
217
Cornerstone Capital Management Holdings
New York
$17M +$399K +5,969 +3%
First Trust Advisors
218
First Trust Advisors
Illinois
$16.9M +$3.87M +57,926 +32%
Commonwealth Equity Services
219
Commonwealth Equity Services
Massachusetts
$16.9M -$80.3K -1,202 -0.5%
HNB
220
Huntington National Bank
Ohio
$16.8M +$251K +3,759 +2%
IRF
221
IBM Retirement Fund
New York
$16.7M -$74.6K -1,116 -0.5%
CTA
222
Chesley Taft & Associates
Illinois
$16.7M +$372K +5,573 +2%
KCA
223
KR Capital Advisors
New York
$16.4M -$442K -6,612 -3%
Mitsubishi UFJ Asset Management
224
Mitsubishi UFJ Asset Management
Japan
$16.3M +$1.37M +20,525 +10%
Jacobs Levy Equity Management
225
Jacobs Levy Equity Management
New Jersey
$16.3M +$15.5M +231,756 New