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GE Aerospace

Name Holding Trade Value Shares
Change
Change in
Stake
HI
1151
Horizon Investments
North Carolina
$2.35M +$353K +2,829 +17%
Mirae Asset Global Investments
1152
Mirae Asset Global Investments
South Korea
$2.35M +$24.2K +194 +1%
RCAG
1153
Rehmann Capital Advisory Group
Michigan
$2.35M +$26K +209 +1%
WA
1154
Wheatland Advisors
Pennsylvania
$2.34M +$4.49K +36 +0.2%
BAM
1155
Boyar Asset Management
New York
$2.33M +$116K +928 +5%
FMB
1156
Field & Main Bank
Kentucky
$2.31M +$58.8K +472 +3%
BCM
1157
BTR Capital Management
California
$2.31M +$145K +1,160 +7%
FFS
1158
Founders Financial Securities
Maryland
$2.3M +$306K +2,458 +15%
RBC
1159
Ronald Blue & Co
Georgia
$2.29M -$68.3K -548 -3%
ATC
1160
Adirondack Trust Company
New York
$2.27M +$401K +3,218 +21%
SIMM
1161
Stillwater Investment Management (Minnesota)
Minnesota
$2.25M +$18.9K +152 +0.8%
MLL
1162
Moody Lynn & Lieberson
Massachusetts
$2.25M -$9.35M -75,038 -80%
TRIM
1163
Thompson Rubinstein Investment Management
Oregon
$2.25M
SIC
1164
Shoker Investment Counsel
Ohio
$2.24M -$65.5K -526 -3%
LCM
1165
Laurion Capital Management
New York
$2.24M +$2.27M +18,237 New
DHFB
1166
Dixon Hubard Feinour & Brown
Virginia
$2.22M +$43.5K +349 +2%
FBA
1167
Front Barnett Associates
Illinois
$2.22M -$10.1K -81 -0.4%
LA
1168
Lau Associates
Delaware
$2.21M -$115K -926 -5%
SCM
1169
Southport Capital Management
Tennessee
$2.2M +$167K +1,341 +8%
PCTC
1170
Perkins Coie Trust Company
Washington
$2.2M +$56.1K +450 +3%
FA
1171
FDx Advisors
Illinois
$2.19M +$130K +1,043 +6%
CG
1172
Clinton Group
New York
$2.18M +$813K +6,528 +58%
MHS
1173
M Holdings Securities
Oregon
$2.18M -$168K -1,346 -7%
MCM
1174
Moore Capital Management
New York
$2.18M -$162K -1,302 -7%
CCMG
1175
Clark Capital Management Group
Pennsylvania
$2.18M -$119K -958 -5%