We are live on ! Find out more
DSCI

Derma Sciences, Inc. Common Stock (DE)
DSCI

Delisted

DSCI was delisted on the 23rd of February, 2017.

Name Holding Trade Value Shares
Change
Change in
Stake
Fidelity International
26
Fidelity International
Bermuda
$1.58M
RA
27
Royce & Associates
New York
$1.51M +$931K +107,100 +195%
Geode Capital Management
28
Geode Capital Management
Massachusetts
$1.2M +$22.7K +2,608 +2%
TCIM
29
TIAA CREF Investment Management
New York
$894K -$11.9K -1,368 -1%
BIM
30
BlackRock Investment Management
Delaware
$704K +$887 +102 +0.1%
PG
31
PEAK6 Group
Illinois
$701K +$509K +58,559 +350%
Deutsche Bank
32
Deutsche Bank
Germany
$660K +$77.8K +8,951 +14%
CB
33
Commerce Bank
Missouri
$614K
California Public Employees Retirement System
34
California Public Employees Retirement System
California
$491K
Millennium Management
35
Millennium Management
New York
$431K +$132K +15,194 +49%
California State Teachers Retirement System (CalSTRS)
36
California State Teachers Retirement System (CalSTRS)
California
$389K +$1.56K +179 +0.4%
D.E. Shaw & Co
37
D.E. Shaw & Co
New York
$358K +$335K +38,497 New
TA
38
Teachers Advisors
New York
$286K +$30.4M +3,494,371 +11,385%
Charles Schwab
39
Charles Schwab
California
$266K
RhumbLine Advisers
40
RhumbLine Advisers
Massachusetts
$258K +$22.6K +2,600 +10%
UBS Group
41
UBS Group
Switzerland
$189K +$177K +20,338 New
Goldman Sachs
42
Goldman Sachs
New York
$163K -$92K -10,582 -38%
NFA
43
Nationwide Fund Advisors
Ohio
$162K
MLICM
44
Metropolitan Life Insurance Company (MetLife)
New York
$159K
State Board of Administration of Florida Retirement System
45
State Board of Administration of Florida Retirement System
Florida
$154K
Renaissance Technologies
46
Renaissance Technologies
New York
$145K +$136K +15,623 New
AIG
47
American International Group
New York
$142K -$4.89K -563 -4%
IAM
48
Iridian Asset Management
Connecticut
$138K -$55.5K -6,390 -30%
Commonwealth Equity Services
49
Commonwealth Equity Services
Massachusetts
$113K
AHC
50
Anderson Hoagland & Co
Missouri
$112K -$26.1K -3,000 -20%