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Expedia Group

Name Holding Trade Value Shares
Change
Change in
Stake
HR
726
Howe & Rusling
New York
– -$923K -10,537 Closed
GG
727
Golden Green
South Carolina
– -$900K -10,275 Closed
HKAM
728
Horizon Kinetics Asset Management
New York
– -$754K -8,606 Closed
JGC
729
J. Goldman & Co
New York
– -$723K -8,254 Closed
QT
730
Quantamental Technologies
New York
– -$684K -7,809 Closed
DIP
731
Davis Investment Partners
North Carolina
– -$810K -7,273 Closed
CCM
732
CAAS Capital Management
New York
– -$629K -6,000 Closed
CS
733
Candriam SCA
Luxembourg
– -$481K -5,487 Closed
AM
734
AGF Management
Ontario, Canada
– -$405K -4,620 Closed
AG
735
Algert Global
California
– -$400K -4,568 Closed
ES
736
Eagle Strategies
New York
– -$399K -4,551 Closed
M
737
Mirova
France
– -$379K -4,325 Closed
CCM
738
Chimera Capital Management
New York
– -$354K -4,041 Closed
CPWA
739
Cerro Pacific Wealth Advisors
California
– -$350K -3,997 Closed
Group One Trading
740
Group One Trading
Illinois
– -$417K -3,976 Closed
I
741
InceptionR
California
– -$323K -3,692 Closed
SXL
742
Summit X LLC
Missouri
– -$326K -3,441 Closed
TSS
743
Two Sigma Securities
New York
– -$347K -3,308 Closed
KCM
744
KRS Capital Management
Michigan
– -$249K -2,848 Closed
PCOC
745
Power Corp of Canada
Canada
– -$246K -2,813 Closed
AC
746
Allstate Corporation
Illinois
– -$242K -2,757 Closed
HS
747
HighVista Strategies
Massachusetts
– -$230K -2,620 Closed
OPWM
748
Oxinas Partners Wealth Management
Indiana
– -$214K -2,438 Closed
CWM
749
CCG Wealth Management
California
– -$203K -2,321 Closed
VanEck Associates
750
VanEck Associates
New York
– -$189K -2,153 Closed