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ESRX

Express Scripts Holding Company
ESRX

Delisted

ESRX was delisted on the 20th of December, 2018.

Name Holding Trade Value Shares
Change
Change in
Stake
WF
376
WealthTrust Fairport
Ohio
$8.03M +$127K +1,456 +2%
ORI
377
Oak Ridge Investments
Illinois
$8.03M +$61.4K +703 +0.8%
Teacher Retirement System of Texas
378
Teacher Retirement System of Texas
Texas
$8.02M +$3.24M +37,136 +70%
WSCM
379
Wellington Shields Capital Management
New York
$7.98M -$26.2K -300 -0.3%
TSS
380
Thomas Story & Son
Indiana
$7.91M -$620K -7,100 -7%
SSWM
381
Sheets Smith Wealth Management
North Carolina
$7.89M -$56.6K -648 -0.7%
GIP
382
Greatmark Investment Partners
Georgia
$7.89M +$618K +7,075 +9%
CONA
383
Capital One National Association
New York
$7.87M +$326K +3,730 +4%
SC
384
SouthState Corp
Florida
$7.86M -$102K -1,164 -1%
AP
385
Appleton Partners
Massachusetts
$7.85M -$446K -5,105 -5%
WIC
386
Wilkins Investment Counsel
Massachusetts
$7.77M -$17.5K -200 -0.2%
Connor, Clark & Lunn Investment Management (CC&L)
387
Connor, Clark & Lunn Investment Management (CC&L)
British Columbia, Canada
$7.68M -$52.4K -600 -0.7%
MA
388
Montag & Associates
Georgia
$7.68M -$699K -8,000 -8%
HR
389
Howe & Rusling
New York
$7.68M -$317K -3,630 -4%
BA
390
Boston Advisors
Massachusetts
$7.65M +$5.69M +65,152 +312%
BA
391
Bridgewater Associates
Connecticut
$7.62M -$987K -11,300 -12%
TBA
392
Tower Bridge Advisors
Pennsylvania
$7.54M -$218K -2,499 -3%
AWCI
393
Alpine Woods Capital Investors
New York
$7.38M +$166K +1,900 +2%
MMCM
394
Marque Millennium Capital Management
New York
$7.36M -$1.8M -20,600 -20%
WBC
395
Westpac Banking Corp
Australia
$7.31M -$3.35M -38,333 -32%
CBOA
396
Commonwealth Bank of Australia
Australia
$7.3M +$131K +1,502 +2%
COPPSERS
397
Commonwealth of Pennsylvania Public School Employees Retirement System
Pennsylvania
$7.28M -$131K -1,496 -2%
SCM
398
SKBA Capital Management
California
$7.28M +$8.74K +100 +0.1%
Allianz Asset Management
399
Allianz Asset Management
Germany
$7.28M +$2.06M +23,629 +41%
VAM
400
Visium Asset Management
New York
$7.27M -$1.81M -20,754 -20%