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Graphic Packaging

Name Holding Trade Value Shares
Change
Change in
Stake
P
201
Pitcairn
Pennsylvania
$266K -$75.6K -6,101 -24%
BJ
202
BlackRock Japan
Japan
$258K -$266K -21,447 -53%
LI
203
LMCG Investments
Massachusetts
$254K +$231K +18,621 New
Canada Pension Plan Investment Board
204
Canada Pension Plan Investment Board
Ontario, Canada
$241K
CG
205
Clinton Group
New York
$235K -$249K -20,059 -54%
VKH
206
Virtu KCG Holdings
New York
$235K +$3.8K +307 +2%
TI
207
Turner Investments
Pennsylvania
$217K -$3.83M -309,247 -95%
BlackRock
208
BlackRock
New York
$212K -$48.8K -3,942 -20%
NIT
209
NumerixS Investment Technologies
British Columbia, Canada
$208K +$190K +15,300 New
PA
210
Profund Advisors
Maryland
$204K +$4.7K +379 +3%
PI
211
Placemark Investments
Illinois
$192K -$59.1K -4,768 -25%
Victory Capital Management
212
Victory Capital Management
Texas
$190K +$22.1K +1,787 +15%
AP
213
AHL Partners
United Kingdom
$166K -$214K -17,241 -59%
JMPWA
214
JP Morgan Private Wealth Advisors
California
$158K +$4.72K +381 +3%
SG Americas Securities
215
SG Americas Securities
New York
$141K -$362K -29,242 -74%
PMG
216
ProVise Management Group
Florida
$136K +$124K +10,000 New
Teacher Retirement System of Texas
217
Teacher Retirement System of Texas
Texas
$135K -$21.1K -1,701 -15%
Creative Planning
218
Creative Planning
Kansas
$135K +$20.4K +1,647 +20%
VanEck Associates
219
VanEck Associates
New York
$109K -$23K -1,858 -19%
Acadian Asset Management
220
Acadian Asset Management
Massachusetts
$103K +$93.5K +7,544 New
IPC
221
Independent Portfolio Consultants
Florida
$89K -$344K -27,750 -81%
IRS
222
Invictus RG (Singapore)
Singapore
$89K -$177K -14,266 -69%
Group One Trading
223
Group One Trading
Illinois
$78K +$70.6K +5,700 New
MOACM
224
Mutual of America Capital Management
New York
$52K
RC
225
RegentAtlantic Capital
New Jersey
$43.4K +$39.5K +3,190 New