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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
Vanguard Group
1
Vanguard Group
Pennsylvania
$723M +$496M +12,259,702 +172%
JSP
2
Jackson Square Partners
California
$533M +$578M +14,296,011 New
T. Rowe Price Associates
3
T. Rowe Price Associates
Maryland
$496M +$41.4M +1,024,440 +8%
State Street
4
State Street
Massachusetts
$414M +$385M +9,522,157 +602%
Brown Advisory
5
Brown Advisory
Maryland
$299M +$324M +8,015,613 +57,418%
First Manhattan
6
First Manhattan
New York
$282M +$60.5M +1,494,997 +25%
BIT
7
BlackRock Institutional Trust
California
$268M +$234M +5,779,947 +412%
Principal Financial Group
8
Principal Financial Group
Iowa
$265M +$22.5M +555,342 +8%
Ameriprise
9
Ameriprise
Minnesota
$257M +$277M +6,841,277 +14,759%
Fidelity Investments
10
Fidelity Investments
Massachusetts
$237M +$256M +6,334,966 +26,506%
MG
11
Meritage Group
California
$237M +$44.5M +1,100,406 +21%
ACM
12
AKRE Capital Management
Virginia
$214M -$167K -4,120 -0.1%
VVP
13
Vulcan Value Partners
Alabama
$199M -$84.7M -2,092,985 -28%
Macquarie Group
14
Macquarie Group
Australia
$173M +$188M +4,648,779 +110,161%
Goldman Sachs
15
Goldman Sachs
New York
$138M +$135M +3,347,444 +974%
BG
16
BlackRock Group
United Kingdom
$133M +$79.7M +1,969,189 +123%
GE
17
General Electric
Ohio
$128M +$3.49M +86,168 +3%
Massachusetts Financial Services
18
Massachusetts Financial Services
Massachusetts
$127M +$133M +3,285,771 +2,518%
Northern Trust
19
Northern Trust
Illinois
$126M +$116M +2,877,937 +586%
BFA
20
BlackRock Fund Advisors
California
$114M +$123M +3,030,176 +12,598%
ClearBridge Investments
21
ClearBridge Investments
New York
$108M +$44.3M +1,095,900 +61%
Bank of New York Mellon
22
Bank of New York Mellon
New York
$101M +$104M +2,563,868 +1,626%
FCIM
23
Fairview Capital Investment Management
California
$98.8M +$2.48M +61,356 +2%
PA
24
Pinnacle Associates
New York
$92.3M -$261K -6,447 -0.3%
TCM
25
TimesSquare Capital Management
New York
$91.8M -$24.4M -604,100 -20%