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Estee Lauder

Name Holding Trade Value Shares
Change
Change in
Stake
Dimensional Fund Advisors
51
Dimensional Fund Advisors
Texas
$153M +$12.4M +69,165 +9%
PPA
52
Parametric Portfolio Associates
Washington
$153M -$7.77M -43,489 -5%
Public Employees Retirement Association of Colorado
53
Public Employees Retirement Association of Colorado
Colorado
$143M -$210K -1,175 -0.2%
BCF
54
BLS Capital Fondsmaeglerselskab
Denmark
$142M +$28.4M +158,800 +27%
Aberdeen Group
55
Aberdeen Group
United Kingdom
$141M -$3.83M -21,454 -3%
New York State Common Retirement Fund
56
New York State Common Retirement Fund
New York
$141M +$959K +5,366 +0.7%
Mitsubishi UFJ Trust & Banking
57
Mitsubishi UFJ Trust & Banking
Japan
$141M +$51.4M +287,575 +63%
NIPH
58
NN Investment Partners Holdings
Netherlands
$130M +$3.34M +18,708 +3%
Deutsche Bank
59
Deutsche Bank
Germany
$127M -$2.9M -16,227 -2%
PAMU
60
Pictet Asset Management (UK)
United Kingdom
$119M -$9.14M -51,169 -7%
First Trust Advisors
61
First Trust Advisors
Illinois
$117M +$99.5M +556,610 +855%
Invesco
62
Invesco
Georgia
$117M -$16.9M -94,439 -13%
Chevy Chase Trust
63
Chevy Chase Trust
Maryland
$115M -$1.31M -7,328 -1%
AllianceBernstein
64
AllianceBernstein
Tennessee
$109M -$28.2M -157,670 -21%
ZIG
65
Zurich Insurance Group
Switzerland
$102M -$1.48M -8,264 -2%
LCP
66
LGT Capital Partners
Switzerland
$99M +$8.84M +49,469 +10%
RJA
67
Raymond James & Associates
Florida
$98.5M -$194K -1,088 -0.2%
TD Asset Management
68
TD Asset Management
Ontario, Canada
$96.4M -$5.28M -29,540 -5%
Bank of Montreal
69
Bank of Montreal
Ontario, Canada
$95.6M +$17.9M +99,907 +24%
California Public Employees Retirement System
70
California Public Employees Retirement System
California
$94.5M +$666K +3,728 +0.8%
PG
71
Pendal Group
Australia
$94.1M +$4.94M +27,663 +6%
RG
72
Rathbones Group
United Kingdom
$92.5M +$14M +78,121 +19%
William Blair Investment Management
73
William Blair Investment Management
Illinois
$92.2M +$6.7M +37,501 +8%
SC
74
Saturna Capital
Washington
$86.8M
Ameriprise
75
Ameriprise
Minnesota
$86.1M -$36.7M -205,276 -31%