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Eastman Chemical

Name Holding Trade Value Shares
Change
Change in
Stake
BC
301
Bridgefront Capital
Texas
$515K +$562K +7,682 New
CCA
302
Childress Capital Advisors
Texas
$506K -$658 -9 -0.1%
CAM
303
Carret Asset Management
New York
$500K +$7.31K +100 +1%
BAM
304
Belpointe Asset Management
Nevada
$498K +$543K +7,430 New
SLAM
305
Swiss Life Asset Management
$498K +$58K +793 +12%
IRC
306
Investors Research Corp
Georgia
$495K -$9.14K -125 -2%
PAS
307
Park Avenue Securities
New York
$490K +$535K +7,310 New
GI
308
GAMMA Investing
California
$490K +$3.15K +43 +0.6%
AF
309
Arrow Financial
New York
$486K +$73 +1 +0%
BFM
310
Boothbay Fund Management
New York
$474K +$518K +7,083 New
ECM
311
Evergreen Capital Management
Washington
$473K -$13.7K -188 -3%
MA
312
Montag & Associates
Georgia
$463K
FHC
313
First Horizon Corporation
Tennessee
$462K
SF
314
Summit Financial
New Jersey
$462K +$47K +642 +10%
Baird Financial Group
315
Baird Financial Group
Wisconsin
$456K +$44.2K +604 +10%
BC
316
Burney Company
Virginia
$444K
CL
317
CSS LLC
Illinois
$439K
AWM
318
AE Wealth Management
Kansas
$433K +$200K +2,734 +73%
SRC
319
Sage Rhino Capital
California
$427K +$6.66K +91 +1%
IB
320
Intrust Bank
Kansas
$427K -$39K -533 -8%
Jane Street
321
Jane Street
New York
$426K -$89.7K -1,227 -16%
VF
322
Virtu Financial
New York
$422K +$461K +6,307 New
GT
323
Glenmede Trust
Pennsylvania
$421K -$125K -1,707 -21%
TL
324
Tradewinds LLC
North Carolina
$418K -$71.2K -973 -29%
UAM
325
Unifi Asset Management
New York
$409K