We are live on ! Find out more
FSLR icon

First Solar

Name Holding Trade Value Shares
Change
Change in
Stake
HSA
51
Hussman Strategic Advisors
Maryland
$17.4M
New York State Common Retirement Fund
52
New York State Common Retirement Fund
New York
$16.5M -$106K -1,900 -0.8%
QIM
53
Quantitative Investment Management
Virginia
$16.4M +$12M +215,000 +1,064%
Barclays
54
Barclays
United Kingdom
$16.3M -$1.59M -28,459 -11%
GH
55
GAM Holding
Switzerland
$16M +$916K +16,425 +8%
Bank of Montreal
56
Bank of Montreal
Ontario, Canada
$15.6M +$1.78M +32,005 +17%
PPA
57
Parametric Portfolio Associates
Washington
$15.3M -$349K -6,254 -3%
Voloridge Investment Management
58
Voloridge Investment Management
Florida
$14.7M +$11.8M +211,338 New
Canada Life
59
Canada Life
Manitoba, Canada
$14.3M +$269K +4,826 +2%
QBFM
60
QS Batterymarch Financial Management
New York
$14.2M -$100K -1,800 -0.9%
Goldman Sachs
61
Goldman Sachs
New York
$14M -$4.72M -84,554 -30%
TRSOTSOK
62
Teachers Retirement System of the State of Kentucky
Kentucky
$13.5M +$2.24M +40,150 +26%
TAM
63
Trillium Asset Management
Massachusetts
$13.3M +$2.04M +36,495 +24%
TAM
64
Todd Asset Management
Kentucky
$12.8M +$2.21M +39,709 +28%
Citigroup
65
Citigroup
New York
$12.2M -$7.26M -130,214 -43%
EGM
66
Espalier Global Management
New York
$12.2M +$9.76M +175,000 New
Connor, Clark & Lunn Investment Management (CC&L)
67
Connor, Clark & Lunn Investment Management (CC&L)
British Columbia, Canada
$12.1M +$1.33M +23,800 +18%
BIM
68
BlackRock Investment Management
Delaware
$12.1M +$2.63M +47,116 +38%
Capital International Investors
69
Capital International Investors
California
$11.9M
DL
70
Delta Lloyd
Netherlands
$11.2M -$5.23M -93,805 -37%
FQ
71
First Quadrant
California
$11.2M -$1.36M -24,400 -13%
WHRC
72
W.H. Reaves & Co
New Jersey
$11M +$8.43M +151,200 +2,160%
QI
73
QS Investors
New York
$10.3M -$5.7M -102,200 -41%
Los Angeles Capital Management
74
Los Angeles Capital Management
California
$10.1M -$5.11M -91,618 -39%
Principal Financial Group
75
Principal Financial Group
Iowa
$10M -$2.36M -42,406 -23%