We are live on ! Find out more
H icon

Hyatt Hotels

Name Holding Trade Value Shares
Change
Change in
Stake
I
351
InceptionR
California
– -$457K -5,057 Closed
PAS
352
Park Avenue Securities
New York
– -$382K -4,228 Closed
MM
353
MQS Management
New York
– -$376K -4,160 Closed
QT
354
Quantamental Technologies
New York
– -$344K -3,800 Closed
EP
355
Edgestream Partners
New Jersey
– -$307K -3,398 Closed
SRC
356
Samson Rock Capital
United Kingdom
– -$301K -3,328 Closed
BFM
357
Boothbay Fund Management
New York
– -$289K -3,194 Closed
TSS
358
Two Sigma Securities
New York
– -$325K -2,970 Closed
DU
359
Delphia (USA)
Ontario, Canada
– -$268K -2,958 Closed
CC
360
Corton Capital
Ontario, Canada
– -$267K -2,948 Closed
WCA
361
Waratah Capital Advisors
Ontario, Canada
– -$265K -2,934 Closed
EMFAT
362
Emerald Mutual Fund Advisers Trust
Pennsylvania
– -$165K -1,826 Closed
HCA
363
Harbor Capital Advisors
Illinois
– -$78.6K -869 Closed
CP
364
Castleview Partners
Texas
– -$59.5K -658 Closed
CAS
365
Coppell Advisory Solutions
Texas
– -$44.3K -490 Closed
CASC
366
Coppell Advisory Solutions Corp
Texas
– -$44.3K -490 Closed
MCC
367
Money Concepts Capital
Florida
– -$34.6K -383 Closed
MIM
368
Macroview Investment Management
Maryland
– -$10.9K -120 Closed
HFS
369
HBC Financial Services
Washington
– -$9K -100 Closed
CG
370
Cutler Group
California
– -$6K -72 Closed
Jones Financial Companies
371
Jones Financial Companies
Missouri
– -$2K -19 Closed
NSIM
372
North Star Investment Management
Illinois
– -$271 -3 Closed
SSG
373
Summit Securities Group
New York
– +$109 +1 New
PVH
374
Psagot Value Holdings
Israel
– +$438 +4 New