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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
PFBT
676
Parkside Financial Bank & Trust
Missouri
$713K -$256 -3 -0%
PI
677
Putnam Investments
Massachusetts
$705K +$11.8K +138 +2%
FIM
678
Freedom Investment Management
Connecticut
$700K -$1.19M -13,939 -63%
ATC
679
Argent Trust Co
Tennessee
$694K -$360K -4,222 -37%
DBIA
680
Dumont & Blake Investment Advisors
New Jersey
$694K +$6.82K +80 +1%
WS
681
Wedbush Securities
California
$690K -$267K -3,133 -30%
BOTW
682
Bank of the West
California
$689K -$65.4K -767 -10%
WIM
683
Westside Investment Management
California
$670K -$34.9K -410 -5%
SBH
684
Segall Bryant & Hamill
Illinois
$670K -$10.1K -119 -2%
SACTSONJ
685
Supplemental Annuity Collective Trust (SACT) of New Jersey
New Jersey
$665K -$767K -9,000 -56%
BP
686
Ballentine Partners
Massachusetts
$664K +$20.9K +245 +4%
CIM
687
CIM Investment Management
Pennsylvania
$662K -$256 -3 -0%
NA
688
NewEdge Advisors
Louisiana
$657K +$10.2K +120 +2%
BFO
689
Boston Family Office
Massachusetts
$656K
BBA
690
BLB&B Advisors
Pennsylvania
$642K +$2.73K +32 +0.5%
HF
691
HRT Financial
New York
$641K +$230K +2,701 +67%
PTC
692
Private Trust Company
Ohio
$637K -$23.1K -271 -4%
CA
693
Cetera Advisors
Colorado
$628K +$32.6K +382 +6%
DC
694
Davenport & Co
Virginia
$625K -$33.7K -395 -6%
KFS
695
Kurt F. Somerville
$625K -$8.52K -100 -1%
WT
696
Whittier Trust
California
$623K -$4.26K -50 -0.8%
CG
697
Colony Group
Massachusetts
$620K +$293K +3,439 +112%
SMC
698
Smith, Moore & Co
Missouri
$613K -$533K -6,259 -49%
LYV
699
Live Your Vision
Pennsylvania
$610K
WF
700
Welch & Forbes
Massachusetts
$604K +$14.1K +166 +3%