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Graphic Packaging

Name Holding Trade Value Shares
Change
Change in
Stake
ATC
201
Adirondack Trust Company
New York
$2K
CM
202
Castleark Management
Illinois
-$10.5M -847,172 Closed
SA
203
Smithwood Advisers
California
-$5.14M -600,000 Closed
Citadel Advisors
204
Citadel Advisors
Florida
-$4.31M -503,611 Closed
MCM
205
Moore Capital Management
New York
-$3.85M -450,000 Closed
Arrowstreet Capital
206
Arrowstreet Capital
Massachusetts
-$3.83M -447,961 Closed
CBOA
207
Commonwealth Bank of Australia
Australia
-$2.88M -336,546 Closed
BCM
208
Bridgeway Capital Management
Texas
-$2.63M -306,800 Closed
PA
209
Para Advisors
New York
-$2.14M -250,000 Closed
BIM
210
Bogle Investment Management
Massachusetts
-$1.97M -229,693 Closed
GH
211
GAM Holding
Switzerland
-$1.54M -179,300 Closed
Jane Street
212
Jane Street
New York
-$1.33M -154,961 Closed
FIG
213
Fortress Investment Group
New York
-$1.17M -136,200 Closed
PIP
214
Palisades Investment Partners
California
-$1.1M -128,600 Closed
Asset Management One
215
Asset Management One
Japan
-$1.07M -124,740 Closed
SGI
216
SAC Global Investors
United Kingdom
-$817K -95,500 Closed
MAM
217
Martingale Asset Management
Massachusetts
-$776K -90,556 Closed
PP
218
PDT Partners
New York
-$461K -53,800 Closed
SG Americas Securities
219
SG Americas Securities
New York
-$341K -39,819 Closed
DC
220
Deere & Company
Illinois
-$234K -27,286 Closed
MCM
221
Munder Capital Management
Michigan
-$190K -22,255 Closed
SCM
222
Stevens Capital Management
Pennsylvania
-$177K -20,666 Closed
T
223
TradeWorx
New Jersey
-$177K -20,655 Closed
QT
224
Quantbot Technologies
New York
-$121K -14,209 Closed
LCS
225
Levin Capital Strategies
New York
-$103K -12,000 Closed