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HOLX

Hologic

Delisted

HOLX was delisted on the 6th of April, 2026.

Name Holding Trade Value Shares
Change
Change in
Stake
Bank of Montreal
26
Bank of Montreal
Ontario, Canada
$73.1M +$11.8M +305,826 +19%
Dimensional Fund Advisors
27
Dimensional Fund Advisors
Texas
$72.8M -$18.1M -469,429 -21%
Ninety One (UK)
28
Ninety One (UK)
United Kingdom
$68.3M +$65.7M +1,701,348 New
JP Morgan Chase
29
JP Morgan Chase
New York
$68.2M -$3.44M -89,191 -5%
SBH
30
Segall Bryant & Hamill
Illinois
$67.5M +$93.5K +2,422 +0.1%
Franklin Resources
31
Franklin Resources
California
$62.1M -$1.99M -51,633 -3%
SGAM
32
Smith Group Asset Management
Texas
$60.9M -$523K -13,552 -0.9%
Renaissance Technologies
33
Renaissance Technologies
New York
$58.7M +$33.7M +873,600 +148%
VOYA Investment Management
34
VOYA Investment Management
Georgia
$58.6M -$911K -23,603 -2%
UBS AM
35
UBS AM
Illinois
$58M +$30.8M +798,541 +123%
AllianceBernstein
36
AllianceBernstein
Tennessee
$56.7M +$36.7M +951,274 +206%
Two Sigma Investments
37
Two Sigma Investments
New York
$54.4M -$113K -2,921 -0.2%
WCM
38
Wedge Capital Management
North Carolina
$54.4M -$1.24M -32,006 -2%
NI
39
Numeric Investors
Massachusetts
$53.1M +$17.9K +463 +0%
Fidelity Investments
40
Fidelity Investments
Massachusetts
$51.4M -$1.99M -51,518 -4%
Balyasny Asset Management
41
Balyasny Asset Management
Illinois
$50.6M -$22M -569,897 -31%
AQR Capital Management
42
AQR Capital Management
Connecticut
$50.1M -$24M -622,091 -33%
USAA
43
United Services Automobile Association
Texas
$49.3M +$3.04M +78,772 +7%
Legal & General Group
44
Legal & General Group
United Kingdom
$49.1M +$496K +12,859 +1%
Wells Fargo
45
Wells Fargo
California
$49M +$6.31M +163,454 +15%
KBG
46
Kahn Brothers Group
New York
$48M -$1.43M -37,110 -3%
Bank of America
47
Bank of America
North Carolina
$47.7M +$5.48M +141,957 +14%
ACM
48
American Capital Management
New York
$46.3M +$143K +3,694 +0.3%
Point72 Asset Management
49
Point72 Asset Management
Connecticut
$45.8M -$6.7M -173,500 -13%
PHS
50
PFM Health Sciences
California
$42.3M +$40.7M +1,053,787 New