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HDS

HD Supply Holdings, Inc.
HDS

Delisted

HDS was delisted on the 23rd of December, 2020.

Name Holding Trade Value Shares
Change
Change in
Stake
Credit Agricole
151
Credit Agricole
France
$3.59M +$95.9K +2,817 +3%
Natixis Advisors
152
Natixis Advisors
Massachusetts
$3.51M -$711K -20,871 -17%
RJA
153
Raymond James & Associates
Florida
$3.44M +$1.23M +35,979 +57%
CO
154
Caldwell & Orkin
Georgia
$3.44M +$3.36M +98,700 New
OC
155
Oppenheimer & Co
New York
$3.29M +$2.44M +71,560 +314%
MAM
156
Martingale Asset Management
Massachusetts
$3.04M +$2.98M +87,448 New
VOYA Investment Management
157
VOYA Investment Management
Georgia
$3.04M +$471K +13,832 +19%
LPL Financial
158
LPL Financial
California
$3.01M +$1.18M +34,542 +64%
KBC Group
159
KBC Group
Belgium
$2.94M +$175K +5,152 +6%
Balyasny Asset Management
160
Balyasny Asset Management
Illinois
$2.78M +$2.19M +64,180 +411%
LH
161
Lebenthal Holdings
New York
$2.67M -$78.1K -2,293 -3%
LAM
162
Lebenthal Asset Management
New York
$2.67M +$2.61M +76,694 New
State of New Jersey Common Pension Fund D
163
State of New Jersey Common Pension Fund D
New Jersey
$2.61M -$1.19M -35,000 -32%
EAM
164
EverPoint Asset Management
Connecticut
$2.44M -$6.13M -180,000 -72%
AG
165
Aperio Group
California
$2.42M +$1.69M +49,748 +254%
Legal & General Group
166
Legal & General Group
United Kingdom
$2.39M +$442K +12,980 +23%
TCM
167
Tributary Capital Management
Nebraska
$2.18M +$174K +5,100 +9%
MFIMFI
168
Mesirow Financial Investment Management - Fixed Income
Illinois
$2.13M +$2.09M +61,320 New
SCA
169
Secor Capital Advisors
New York
$2.1M +$1.21M +35,521 +142%
SSB
170
Sandy Spring Bank
Maryland
$2.1M -$13.6K -400 -0.7%
ANBT
171
American National Bank & Trust
Texas
$1.87M +$629K +18,468 +52%
Royal Bank of Canada
172
Royal Bank of Canada
Ontario, Canada
$1.82M -$163K -4,777 -8%
BlackRock
173
BlackRock
New York
$1.78M -$1.41M -41,440 -45%
WWM
174
Willingdon Wealth Management
North Carolina
$1.78M +$1.74M +51,038 New
MSTVIM
175
Messner & Smith Theme Value Investment Management
California
$1.71M -$15.2K -447 -0.9%