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DISCK

Discovery, Inc. Series C Common Stock

Delisted

DISCK was delisted on the 8th of April, 2022.

Name Holding Trade Value Shares
Change
Change in
Stake
SO
76
STRS Ohio
Ohio
$8.26M -$14.5K -549 -0.2%
Korea Investment Corp
77
Korea Investment Corp
South Korea
$8.19M -$1.16M -44,100 -12%
Renaissance Technologies
78
Renaissance Technologies
New York
$8.15M +$5.39M +204,400 +172%
CHA
79
Cedar Hill Associates
Illinois
$8M -$366K -13,885 -4%
CIBC Private Wealth Group
80
CIBC Private Wealth Group
Georgia
$8M +$1.81M +68,498 +28%
NFA
81
Nationwide Fund Advisors
Ohio
$7.92M +$1.44M +54,700 +21%
Adage Capital Partners
82
Adage Capital Partners
Massachusetts
$7.86M -$121K -4,600 -1%
NSAM
83
North Star Asset Management
Wisconsin
$7.15M -$526K -19,953 -7%
UBS Group
84
UBS Group
Switzerland
$6.92M -$5.8K -220 -0.1%
GHCM
85
Glen Harbor Capital Management
California
$6.54M +$1.24M +46,818 +22%
MAP
86
Managed Asset Portfolios
Michigan
$6.45M -$1.49M -56,454 -18%
Truist Financial
87
Truist Financial
North Carolina
$6.07M +$238K +9,019 +4%
LKIM
88
Lawson Kroeker Investment Management
Nebraska
$6.04M -$30.5K -1,155 -0.5%
Manulife (Manufacturers Life Insurance)
89
Manulife (Manufacturers Life Insurance)
Ontario, Canada
$5.77M -$286K -10,834 -5%
BTS
90
BB&T Securities
Virginia
$5.56M -$19.7M -748,398 -77%
MCIM
91
Meadow Creek Investment Management
Georgia
$5.39M +$1.02M +38,556 +22%
MIH
92
Madison Investment Holdings
Wisconsin
$5.31M -$57.4M -2,173,665 -91%
VRS
93
Virginia Retirement Systems
Virginia
$5.3M +$1.41M +53,400 +34%
WFG
94
Windsor Financial Group
Minnesota
$5.14M +$50.8K +1,925 +1%
Canada Pension Plan Investment Board
95
Canada Pension Plan Investment Board
Ontario, Canada
$5M +$2.1M +79,490 +67%
Bank of Montreal
96
Bank of Montreal
Ontario, Canada
$5M -$210K -7,965 -4%
HighTower Advisors
97
HighTower Advisors
Illinois
$4.85M +$29.3K +1,111 +0.6%
HSBC Holdings
98
HSBC Holdings
United Kingdom
$4.74M -$7.36M -278,959 -60%
FMI
99
Factory Mutual Insurance
Massachusetts
$4.66M
Chevy Chase Trust
100
Chevy Chase Trust
Maryland
$4.66M -$101K -3,826 -2%