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Graphic Packaging

Name Holding Trade Value Shares
Change
Change in
Stake
PFM
251
Premier Fund Managers
United Kingdom
$378K -$62.1M -2,827,601 -99%
PI
252
PEAK6 Investments
Illinois
$360K +$400K +18,231 New
GL
253
Graypoint LLC
New York
$350K
ACM
254
AlphaCrest Capital Management
New York
$345K +$127K +5,806 +50%
M&T Bank
255
M&T Bank
New York
$329K -$4.74K -216 -1%
NWA
256
New World Advisors
Massachusetts
$328K -$13.2K -600 -3%
Cambridge Investment Research Advisors
257
Cambridge Investment Research Advisors
Iowa
$328K +$365K +16,619 New
CI Investments Inc
258
CI Investments Inc
Ontario, Canada
$323K -$1.34M -60,879 -79%
MIM
259
MetLife Investment Management
New Jersey
$317K -$527 -24 -0.1%
PP
260
PDT Partners
New York
$312K +$347K +15,800 New
Stifel Financial
261
Stifel Financial
Missouri
$299K -$14.7K -670 -4%
CCM
262
Corsair Capital Management
New York
$297K +$746 +34 +0.2%
CG
263
Caprock Group
Idaho
$291K -$133K -6,065 -29%
WSTAM
264
Wilbanks Smith & Thomas Asset Management
Virginia
$287K
Simplex Trading
265
Simplex Trading
Illinois
$286K +$318K +14,510 New
WEG
266
World Equity Group
Illinois
$279K +$4.46K +203 +1%
PAG
267
Private Advisor Group
New Jersey
$274K -$198 -9 -0.1%
BC
268
Burney Company
Virginia
$271K -$5.88K -268 -2%
DBRC
269
D.B. Root & Company
Pennsylvania
$267K -$233K -10,597 -44%
B
270
Bellecapital
Switzerland
$265K
V
271
Veritable
Delaware
$264K -$7.68K -350 -3%
ESCM
272
Echo Street Capital Management
New York
$263K +$293K +13,334 New
B
273
Bailard
California
$260K
ARC
274
Advisor Resource Council
Texas
$242K -$1.18M -53,634 -81%
TSS
275
Two Sigma Securities
New York
$239K +$265K +12,095 New