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Eastman Chemical

Name Holding Trade Value Shares
Change
Change in
Stake
DCM
551
Dupont Capital Management
Delaware
$167K -$2.06M -18,666 -92%
CTC
552
Central Trust Company
Missouri
$149K +$1.32K +12 +0.8%
AAM
553
Advisors Asset Management
Colorado
$145K +$42.4K +384 +36%
SSB
554
Sandy Spring Bank
Maryland
$142K
CYG
555
Clean Yield Group
Vermont
$134K
Walleye Trading
556
Walleye Trading
New York
$128K +$140K +1,268 New
GWM
557
Geneos Wealth Management
Colorado
$118K +$110 +1 +0.1%
SIM
558
Sentry Investment Management
Wisconsin
$114K -$18.2K -165 -13%
PCG
559
Private Capital Group
Connecticut
$113K
DOA
560
D'Orazio & Associates
Virginia
$112K
IRC
561
Investors Research Corp
Georgia
$112K
AP
562
Atwood & Palmer
Missouri
$111K
RMC
563
Resources Management Corp
Connecticut
$111K
PA
564
Parallel Advisors
California
$103K +$7.5K +68 +7%
DMBA
565
Deseret Mutual Benefit Administrators
Utah
$98K -$41.6K -377 -28%
HI
566
Hudock Inc
Pennsylvania
$97K +$662 +6 +0.6%
BCA
567
Berman Capital Advisors
Georgia
$97K +$3.86K +35 +4%
NICM
568
Neo Ivy Capital Management
New York
$97K +$154K +1,398 New
HIA
569
Harbor Investment Advisory
Maryland
$94K
AF
570
Advisornet Financial
Minnesota
$92K -$5.19K -47 -5%
CFA
571
Carroll Financial Associates
North Carolina
$89K
RFA
572
Reilly Financial Advisors
California
$87K
CFB
573
Cullen/Frost Bankers
Texas
$86K
Group One Trading
574
Group One Trading
Illinois
$86K +$93.8K +850 New
BDWM
575
Brewin Dolphin Wealth Management
Ireland
$80.6K