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EFII

Electronics for Imaging
EFII

Delisted

EFII was delisted on the 22nd of July, 2019.

Name Holding Trade Value Shares
Change
Change in
Stake
CM
51
Castleark Management
Illinois
$8.72M +$8.78M +184,110 New
NIM
52
Needham Investment Management
New York
$8.72M
State of Wisconsin Investment Board
53
State of Wisconsin Investment Board
Wisconsin
$6.9M +$55.5K +1,163 +0.8%
Russell Investments Group
54
Russell Investments Group
United Kingdom
$6.74M +$6.35M +133,138 +1,468%
SGCIA
55
Smith Graham & Co Investment Advisors
Texas
$6.46M -$355K -7,430 -5%
TCIM
56
TIAA CREF Investment Management
New York
$5.92M -$133K -2,781 -2%
PC
57
Pier Capital
Connecticut
$5.67M +$5.71M +119,617 New
RhumbLine Advisers
58
RhumbLine Advisers
Massachusetts
$4.83M -$143K -2,994 -3%
NC
59
Nicholas Company
Wisconsin
$4.63M
California Public Employees Retirement System
60
California Public Employees Retirement System
California
$4.49M +$105K +2,200 +2%
Legal & General Group
61
Legal & General Group
United Kingdom
$4.23M +$348K +7,299 +9%
TA
62
Teachers Advisors
New York
$4.02M -$429K -8,986 -10%
SI
63
Scout Investments
Missouri
$3.92M +$147K +3,075 +4%
RBA
64
Richard Bernstein Advisors
New York
$3.92M
California State Teachers Retirement System (CalSTRS)
65
California State Teachers Retirement System (CalSTRS)
California
$3.89M -$505K -10,580 -11%
Comerica Bank
66
Comerica Bank
Texas
$3.82M -$845K -17,707 -18%
Prudential Financial
67
Prudential Financial
New Jersey
$3.73M -$76.8K -1,610 -2%
Swiss National Bank
68
Swiss National Bank
Switzerland
$3.64M
AllianceBernstein
69
AllianceBernstein
Tennessee
$3.62M -$52.5K -1,100 -1%
Canada Life
70
Canada Life
Manitoba, Canada
$3.18M +$117K +2,450 +4%
Citadel Advisors
71
Citadel Advisors
Florida
$3.01M +$3.03M +63,491 New
New York State Common Retirement Fund
72
New York State Common Retirement Fund
New York
$2.92M +$587K +12,299 +25%
UC
73
Unterberg Capital
New York
$2.61M -$3.46M -72,575 -57%
Wells Fargo
74
Wells Fargo
California
$2.38M -$1.34M -28,065 -36%
BCM
75
Becker Capital Management
Oregon
$2.36M +$2.37M +49,766 New