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Graphic Packaging

Name Holding Trade Value Shares
Change
Change in
Stake
EIP
476
Epoch Investment Partners
New York
-$501K -25,611 Closed
SRL
477
Scientech Research LLC
New Jersey
-$479K -24,461 Closed
CT
478
ClearAlpha Technologies
Connecticut
-$450K -22,992 Closed
P
479
&Partners
Tennessee
-$439K -22,371 Closed
RCM
480
Requisite Capital Management
Texas
-$434K -22,162 Closed
VA
481
VestGen Advisors
Illinois
-$384K -19,629 Closed
SCA
482
Sage Capital Advisors
South Dakota
-$361K -18,447 Closed
DC
483
Diametric Capital
Massachusetts
-$339K -17,332 Closed
VA
484
Vident Advisory
Georgia
-$334K -17,047 Closed
Twin Tree Management
485
Twin Tree Management
Texas
-$331K -16,907 Closed
AWM
486
Arista Wealth Management
Nevada
-$318K -16,253 Closed
IA
487
Inspire Advisors
Idaho
-$285K -14,549 Closed
XF
488
XML Financial
Maryland
-$272K -13,880 Closed
CIBC World Market
489
CIBC World Market
Ontario, Canada
-$269K -13,764 Closed
CAU
490
Caxton Associates (UK)
-$250K -12,770 Closed
Stifel Financial
491
Stifel Financial
Missouri
-$235K -12,016 Closed
ASN
492
Advisory Services Network
Georgia
-$235K -11,997 Closed
RS
493
R Squared
Hong Kong
-$234K -11,970 Closed
KFS
494
Keynote Financial Services
Connecticut
-$230K -11,749 Closed
FCM
495
Fieldview Capital Management
Michigan
-$228K -11,645 Closed
VI
496
Vestcor Inc
New Brunswick, Canada
-$189K -9,657 Closed
CI Investments Inc
497
CI Investments Inc
Ontario, Canada
-$53K -2,698 Closed
PS
498
Principal Securities
Iowa
-$40.5K -2,072 Closed
DF
499
DecisionPoint Financial
Arizona
-$37.4K -1,912 Closed
MSWA
500
Marshall & Sterling Wealth Advisors
New York
-$31.4K -1,602 Closed