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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
Barclays
126
Barclays
United Kingdom
$7.28M +$2.69M +78,922 +56%
DCLA
127
Douglas C. Lane & Associates
New York
$7.18M -$2.79M -81,891 -28%
Chevy Chase Trust
128
Chevy Chase Trust
Maryland
$7.07M -$63.7K -1,869 -0.9%
VCM
129
Vision Capital Management
Oregon
$6.81M -$537K -15,760 -7%
Wellington Management Group
130
Wellington Management Group
Massachusetts
$6.76M -$15.1M -444,103 -69%
SEM
131
Suncoast Equity Management
Florida
$6.71M +$2.61M +76,625 +63%
BTW
132
Boston Trust Walden
Massachusetts
$6.6M +$5.6M +164,280 +524%
TA
133
Teton Advisors
New York
$6.59M +$2.9K +85 +0%
WRF
134
Waddell & Reed Financial
Kansas
$6.41M -$1.36M -40,000 -17%
GG
135
Gofen & Glossberg
Illinois
$6.4M +$1.65M +48,547 +34%
VOYA Investment Management
136
VOYA Investment Management
Georgia
$6.15M -$36.4M -1,067,670 -85%
Neuberger Berman Group
137
Neuberger Berman Group
New York
$6M -$3.88M -113,916 -39%
EA
138
Euclid Advisors
Connecticut
$5.92M +$396K +11,630 +7%
NSAM
139
North Star Asset Management
Wisconsin
$5.83M +$1.96M +57,410 +50%
Retirement Systems of Alabama
140
Retirement Systems of Alabama
Alabama
$5.52M -$4.91K -144 -0.1%
PAMU
141
Pictet Asset Management (UK)
United Kingdom
$5.4M +$21.6K +633 +0.4%
MLICM
142
Metropolitan Life Insurance Company (MetLife)
New York
$5.38M -$22.2K -650 -0.4%
CL
143
Croft-Leominster
Maryland
$5.33M +$2.5M +73,373 +87%
USAA
144
United Services Automobile Association
Texas
$5.33M +$789K +23,143 +17%
Canada Life
145
Canada Life
Manitoba, Canada
$5.23M -$2.42M -71,146 -31%
PRCM
146
Pine River Capital Management
Minnesota
$5.22M +$3.36M +98,737 +176%
BCIM
147
British Columbia Investment Management
British Columbia, Canada
$5.17M -$3.09M -90,578 -37%
GIM
148
Goelzer Investment Management
Indiana
$5.12M +$260K +7,620 +5%
VRS
149
Virginia Retirement Systems
Virginia
$4.96M +$1.35M +39,601 +37%
ProShare Advisors
150
ProShare Advisors
Maryland
$4.92M +$2.25M +65,914 +82%