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Graphic Packaging

Name Holding Trade Value Shares
Change
Change in
Stake
Canada Life
201
Canada Life
Manitoba, Canada
$547K +$15.4K +792 +3%
Nisa Investment Advisors
202
Nisa Investment Advisors
Missouri
$520K -$49.4K -2,540 -9%
PAG
203
Private Advisor Group
New Jersey
$519K +$504K +25,921 New
BEI
204
Benjamin Edwards Inc
Missouri
$508K +$3.11K +160 +0.6%
GTCM
205
Gyon Technologies Capital Management
New Jersey
$507K -$3.13M -161,084 -86%
OQS
206
Occudo Quantitative Strategies
Florida
$502K +$487K +25,058 New
PHK
207
Point72 Hong Kong
Hong Kong
$492K +$477K +24,566 New
CIP
208
Capital Insight Partners
Arizona
$459K +$445K +22,920 New
Barclays
209
Barclays
United Kingdom
$455K -$4.96M -255,319 -92%
Osaic Holdings
210
Osaic Holdings
Arizona
$440K -$39.4K -2,029 -5%
MSRPS
211
Maryland State Retirement & Pension System
Maryland
$432K
DFCM
212
Dark Forest Capital Management
Puerto Rico
$432K +$419K +21,557 New
CHAM
213
Clear Harbor Asset Management
Connecticut
$413K
BMC
214
Benin Management Corp
Connecticut
$403K +$391K +20,100 New
BMCM
215
Burns Matteson Capital Management
New York
$401K +$389K +20,018 New
AC
216
ASB Consultores
Florida
$401K +$23.3K +1,200 +6%
NWA
217
New World Advisors
Massachusetts
$398K
GL
218
Graypoint LLC
New York
$397K +$25.3K +1,300 +7%
CAM
219
Cresset Asset Management
Illinois
$368K -$45.6K -2,349 -11%
FRM
220
Fox Run Management
Connecticut
$351K +$35.6K +1,832 +12%
MFS
221
Mirabella Financial Services
United Kingdom
$351K +$335K +17,242 New
WSTAM
222
Wilbanks Smith & Thomas Asset Management
Virginia
$349K -$21.4K -1,100 -6%
Bank of Montreal
223
Bank of Montreal
Ontario, Canada
$348K -$1.17M -59,962 -78%
CFGS
224
Concourse Financial Group Securities
Alabama
$345K -$511K -26,297 -61%
M&T Bank
225
M&T Bank
New York
$340K -$140K -7,211 -30%