|
201
|
Brinker Capital
Berwyn,
Pennsylvania
|
$851K
|
+$66.8K
|
+1,768
|
+7%
|
|
|
202
|
Fox Run Management
Greenwich,
Connecticut
|
$848K
|
+$1.05M
|
+27,700
|
New
|
|
|
203
|
|
$842K
|
-$3.58M
|
-94,718
|
-78%
|
|
|
204
|
Glen Harbor Capital Management
San Diego,
California
|
$815K
|
-$50.1K
|
-1,326
|
-5%
|
|
|
205
|
US Bancorp
Minneapolis,
Minnesota
|
$814K
|
-$136K
|
-3,607
|
-12%
|
|
|
206
|
Mitsubishi UFJ Asset Management
Tokyo,
Japan
|
$809K
|
+$998K
|
+26,400
|
New
|
|
|
207
|
Group One Trading
Chicago,
Illinois
|
$801K
|
+$658K
|
+17,408
|
+199%
|
|
|
208
|
GAM Holding
Zurich,
Switzerland
|
$794K
|
+$981K
|
+25,933
|
New
|
|
|
209
|
Seven Bridges Advisors
New York
|
$765K
|
+$382K
|
+10,102
|
+68%
|
|
|
210
|
LPL Financial
San Diego,
California
|
$765K
|
+$447K
|
+11,831
|
+90%
|
|
|
211
|
Pinnacle Associates
New York
|
$755K
|
+$83K
|
+2,195
|
+10%
|
|
|
212
|
Inverness Counsel
New York
|
$745K
|
-$16.1M
|
-424,525
|
-95%
|
|
|
213
|
People's United Financial
Bridgeport,
Connecticut
|
$744K
|
-$3.59K
|
-95
|
-0.4%
|
|
|
214
|
Nomura Asset Management
Tokyo,
Japan
|
$741K
|
+$914K
|
+24,170
|
New
|
|
|
215
|
WESCAP Management Group
Glendale,
California
|
$724K
|
+$895K
|
+23,667
|
New
|
|
|
216
|
Verition Fund Management
Greenwich,
Connecticut
|
$713K
|
-$609K
|
-16,112
|
-41%
|
|
|
217
|
SG Americas Securities
New York
|
$712K
|
+$879K
|
+23,255
|
New
|
|
|
218
|
Nikko Asset Management Americas
New York
|
$695K
|
–
|
–
|
–
|
|
|
219
|
Advisors Asset Management
Monument,
Colorado
|
$692K
|
+$42.7K
|
+1,129
|
+5%
|
|
|
220
|
Brant Point Investment Management
New York
|
$689K
|
-$6.73M
|
-177,900
|
-89%
|
|
|
221
|
Spot Trading
Chicago,
Illinois
|
$686K
|
+$768K
|
+20,315
|
+977%
|
|
|
222
|
Aspiriant LLC
Los Angeles,
California
|
$674K
|
–
|
–
|
–
|
|
|
223
|
Meadow Creek Investment Management
Atlanta,
Georgia
|
$672K
|
-$41.3K
|
-1,092
|
-5%
|
|
|
224
|
Magnetar Financial
Evanston,
Illinois
|
$660K
|
+$815K
|
+21,556
|
New
|
|
|
225
|
Zebra Capital Management
Stamford,
Connecticut
|
$656K
|
+$809K
|
+21,404
|
New
|
|