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DLPH

Delphi Technologies PLC Ordinary Shares
DLPH

Delisted

DLPH was delisted on the 1st of October, 2020.

Name Holding Trade Value Shares
Change
Change in
Stake
KLWA
126
Kelly Lawrence W & Associates
California
$2.66M +$2.64M +50,757 New
Aviva
127
Aviva
United Kingdom
$2.63M +$2.6M +50,061 New
Natixis Advisors
128
Natixis Advisors
Massachusetts
$2.48M +$2.45M +47,182 New
ACI
129
AMP Capital Investors
Australia
$2.47M +$2.44M +47,025 New
HI
130
HBK Investments
Texas
$2.46M +$2.44M +46,861 New
Daiwa Securities Group
131
Daiwa Securities Group
Japan
$2.38M +$2.35M +45,302 New
MSA
132
Mason Street Advisors
Wisconsin
$2.3M +$2.28M +43,822 New
WSFS
133
Wilmington Savings Fund Society
Delaware
$2.29M +$2.27M +43,691 New
OPERF
134
Oregon Public Employees Retirement Fund
Oregon
$2.24M +$2.22M +42,745 New
KTA
135
Keeley-Teton Advisors
Illinois
$2.24M +$2.21M +42,613 New
Baird Financial Group
136
Baird Financial Group
Wisconsin
$2.22M +$2.2M +42,268 New
Squarepoint
137
Squarepoint
New York
$2.18M +$2.16M +41,469 New
USAA
138
United Services Automobile Association
Texas
$2.17M +$2.15M +41,329 New
Fidelity International
139
Fidelity International
Bermuda
$2.07M +$2.05M +39,370 New
OAC
140
OMERS Administration Corp
Ontario, Canada
$2.01M +$1.99M +38,300 New
CLOS
141
Compagnie Lombard Odier SCmA
Switzerland
$2.01M +$1.99M +38,261 New
Jane Street
142
Jane Street
New York
$1.97M +$1.95M +37,524 New
AG
143
Aperio Group
California
$1.89M +$1.88M +36,088 New
Lazard Asset Management
144
Lazard Asset Management
New York
$1.87M +$1.85M +35,587 New
Federated Hermes
145
Federated Hermes
Pennsylvania
$1.86M +$1.84M +35,467 New
BCM
146
Bridgeway Capital Management
Texas
$1.85M +$1.84M +35,359 New
State of Wisconsin Investment Board
147
State of Wisconsin Investment Board
Wisconsin
$1.84M +$1.82M +35,097 New
CCM
148
Chilton Capital Management
Texas
$1.81M +$1.8M +34,587 New
State of New Jersey Common Pension Fund D
149
State of New Jersey Common Pension Fund D
New Jersey
$1.78M +$1.77M +34,000 New
Barclays
150
Barclays
United Kingdom
$1.78M +$1.76M +33,936 New