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Alphabet (Google) Class C

Name Holding Trade Value Shares
Change
Change in
Stake
Creative Planning
176
Creative Planning
Kansas
$523M +$15.7M +50,066 +3%
CIBC Asset Management
177
CIBC Asset Management
Ontario, Canada
$517M -$6.03M -19,192 -1%
WT
178
Wellcome Trust
United Kingdom
$516M
Jones Financial Companies
179
Jones Financial Companies
Missouri
$515M +$511M +1,627,064 +645%
Millennium Management
180
Millennium Management
New York
$511M -$227M -721,317 -29%
BPC
181
Banque Pictet & Cie
Switzerland
$507M -$196M -624,134 -26%
NIM
182
NEOS Investment Management
Connecticut
$504M +$88.4M +281,383 +19%
BCWM
183
Bartlett & Co Wealth Management
Ohio
$501M -$16M -50,958 -4%
AL
184
Appaloosa LP
New Jersey
$497M -$17M -54,231 -3%
Fisher Asset Management
185
Fisher Asset Management
Washington
$494M +$773K +2,460 +0.1%
SLAM
186
Swiss Life Asset Management
$492M +$37.5M +119,319 +7%
State Farm Mutual Automobile Insurance
187
State Farm Mutual Automobile Insurance
Illinois
$483M
DekaBank Deutsche Girozentrale
188
DekaBank Deutsche Girozentrale
Germany
$482M
State of New Jersey Common Pension Fund D
189
State of New Jersey Common Pension Fund D
New Jersey
$479M -$352K -1,122 -0.1%
JAM
190
Jupiter Asset Management
United Kingdom
$477M +$351M +1,116,271 +183%
State of Tennessee, Department of Treasury
191
State of Tennessee, Department of Treasury
Tennessee
$473M +$1.52M +4,843 +0.3%
MSV
192
MN Services Vermogensbeheer
Netherlands
$473M -$408K -1,300 -0.1%
CS
193
Clear Street
New York
$465M -$31.5M -100,192 -6%
Man Group
194
Man Group
United Kingdom
$465M -$21.2M -67,399 -4%
MPI
195
Mairs & Power Inc
Minnesota
$462M -$27.1M -86,359 -5%
TG
196
TCW Group
California
$460M -$15.1M -48,173 -3%
Mirae Asset Global ETFs Holdings
197
Mirae Asset Global ETFs Holdings
Hong Kong
$458M -$39M -124,123 -7%
Retirement Systems of Alabama
198
Retirement Systems of Alabama
Alabama
$454M +$1.23M +3,910 +0.2%
RG
199
Rathbones Group
United Kingdom
$452M -$43.4M -138,063 -8%
Commonwealth Equity Services
200
Commonwealth Equity Services
Massachusetts
$452M -$39.1M -124,479 -7%