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Gulfport Energy Corp

Name Holding Trade Value Shares
Change
Change in
Stake
Millennium Management
26
Millennium Management
New York
$42.8M -$24.5M -123,428 -38%
American Century Companies
27
American Century Companies
Missouri
$42.7M +$15.4M +77,695 +63%
William Blair Investment Management
28
William Blair Investment Management
Illinois
$42.1M +$1.29M +6,505 +3%
GACM
29
Global Alpha Capital Management
Quebec, Canada
$40.3M -$288K -1,449 -0.8%
Northern Trust
30
Northern Trust
Illinois
$37.9M +$8.68M +43,640 +32%
Bank of America
31
Bank of America
North Carolina
$32.2M +$10.1M +50,968 +50%
Pictet Asset Management
32
Pictet Asset Management
Switzerland
$31.7M -$3.1M -15,605 -9%
HHAM
33
HITE Hedge Asset Management
Massachusetts
$31.4M +$23.7M +119,225 +411%
Renaissance Technologies
34
Renaissance Technologies
New York
$29M +$23.3M +117,100 +583%
FWIA
35
Fort Washington Investment Advisors
Ohio
$27.3M +$4.01M +20,159 +19%
GKIM
36
GW&K Investment Management
Massachusetts
$25.8M -$517K -2,600 -2%
Wellington Management Group
37
Wellington Management Group
Massachusetts
$25.2M -$63.7M -320,441 -73%
Mackenzie Financial
38
Mackenzie Financial
Ontario, Canada
$24.8M -$6.27M -31,554 -21%
PCM
39
Penn Capital Management
Pennsylvania
$23.6M +$2.9M +14,610 +15%
Vanguard Fiduciary Trust
40
Vanguard Fiduciary Trust
Pennsylvania
$23M +$21.6M +108,788 New
UBS Group
41
UBS Group
Switzerland
$22.9M +$6.14M +30,858 +40%
AQR Capital Management
42
AQR Capital Management
Connecticut
$22.6M -$5.52M -27,762 -21%
Goldman Sachs
43
Goldman Sachs
New York
$22.1M -$9.98M -50,204 -32%
Raymond James Financial
44
Raymond James Financial
Florida
$22.1M -$503K -2,529 -2%
Ameriprise
45
Ameriprise
Minnesota
$21.6M -$70.2K -353 -0.3%
SFM
46
Systematic Financial Management
New Jersey
$21.5M +$1.92M +9,648 +10%
LIA
47
LSP Investment Advisors
New York
$20.9M -$2.05M -10,300 -9%
MSL
48
Mackay Shields LLC
New York
$20.9M -$1.99M -10,000 -9%
Morgan Stanley
49
Morgan Stanley
New York
$19.6M +$6.78M +34,099 +58%
BA
50
Bridgewater Associates
Connecticut
$19.4M -$4.44M -22,335 -20%