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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
JMPWA
101
JP Morgan Private Wealth Advisors
California
$14.3M +$15.5M +383,988 New
SI
102
Scout Investments
Missouri
$13.9M -$589K -14,566 -4%
State Board of Administration of Florida Retirement System
103
State Board of Administration of Florida Retirement System
Florida
$13.6M +$14.7M +363,990 New
RhumbLine Advisers
104
RhumbLine Advisers
Massachusetts
$12.9M +$14M +346,925 New
MVIP
105
Mar Vista Investment Partners
California
$12.9M -$7.86M -194,316 -36%
CCA
106
Canyon Capital Advisors
Texas
$12.2M +$13.2M +327,160 New
Prudential Financial
107
Prudential Financial
New Jersey
$12.1M +$13.1M +323,790 New
SIMG
108
Stephens Investment Management Group
Texas
$12M +$2.76M +68,300 +27%
DC
109
Davenport & Co
Virginia
$12M +$12.2M +301,418 +1,573%
Royal Bank of Canada
110
Royal Bank of Canada
Ontario, Canada
$11.8M +$8.38M +207,074 +189%
HI
111
Honeywell International
North Carolina
$11.4M +$12.4M +306,100 New
FMI
112
Factory Mutual Insurance
Massachusetts
$11.2M +$12.1M +300,100 New
DCLA
113
Douglas C. Lane & Associates
New York
$11M +$1.77M +43,843 +17%
Neuberger Berman Group
114
Neuberger Berman Group
New York
$10.9M -$299K -7,380 -2%
Swiss National Bank
115
Swiss National Bank
Switzerland
$10.7M +$5.21M +128,788 +82%
NCM
116
Nebula Capital Management
Connecticut
$10.6M +$32.4K +800 +0.3%
AAM
117
AMI Asset Management
California
$10.6M +$11.5M +283,257 New
CIBC Private Wealth Group
118
CIBC Private Wealth Group
Georgia
$10.2M +$1.94M +48,070 +21%
PNC Financial Services Group
119
PNC Financial Services Group
Pennsylvania
$10.1M +$4.76M +117,732 +76%
QI
120
Qualcomm Inc
California
$10.1M +$4M +98,800 +57%
BHC
121
Bowen Hanes & Co
Florida
$9.85M +$10.7M +264,211 New
U
122
UBS
Switzerland
$9.42M +$5.05M +124,922 +98%
CAMI
123
Concord Asset Management (Illinois)
Illinois
$9.15M +$5.06K +125 +0.1%
BCIM
124
British Columbia Investment Management
British Columbia, Canada
$9.1M +$7.83M +193,569 +384%
TG
125
TCW Group
California
$9.05M +$9.82M +242,839 New