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Darden Restaurants

Name Holding Trade Value Shares
Change
Change in
Stake
PCOC
726
Power Corp of Canada
Canada
– -$1.34M -10,062 Closed
PI
727
PEAK6 Investments
Illinois
– -$1.22M -9,745 Closed
AI
728
Atria Investments
North Carolina
– -$1.18M -8,835 Closed
BSA
729
Braun Stacey Associates
New York
– -$1.15M -8,650 Closed
ACM
730
AlphaStar Capital Management
North Carolina
– -$927K -6,971 Closed
LCM
731
Laurion Capital Management
New York
– -$771K -5,800 Closed
BA
732
Bellwether Advisors
Nebraska
– -$715K -5,383 Closed
WEG
733
World Equity Group
Illinois
– -$465K -3,499 Closed
DA
734
DCM Advisors
New York
– -$439K -3,300 Closed
RB
735
Renasant Bank
Mississippi
– -$438K -3,295 Closed
ESCM
736
Echo Street Capital Management
New York
– -$430K -3,232 Closed
SIA
737
SkyView Investment Advisors
New Jersey
– -$411K -3,156 Closed
WW
738
Westshore Wealth
California
– -$412K -3,100 Closed
PP
739
Paloma Partners
Connecticut
– -$411K -3,091 Closed
RBC
740
Rye Brook Capital
Connecticut
– -$399K -3,000 Closed
Nomura Holdings
741
Nomura Holdings
Japan
– -$383K -2,950 Closed
XWM
742
Xcel Wealth Management
Florida
– -$355K -2,670 Closed
AR
743
Advisory Research
Illinois
– -$344K -2,584 Closed
APP
744
Alpha Paradigm Partners
Illinois
– -$343K -2,578 Closed
O
745
Ossiam
France
– -$331K -2,489 Closed
BFG
746
Berger Financial Group
Minnesota
– -$321K -2,415 Closed
CI
747
Cigna Investments
Connecticut
– -$298K -2,246 Closed
QI
748
Qtron Investments
Massachusetts
– -$296K -2,226 Closed
BAM
749
Belpointe Asset Management
Nevada
– -$287K -2,163 Closed
CAIMH
750
Central Asset Investments & Management Holdings
Hong Kong
– -$284K -2,140 Closed