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H&R Block

Name Holding Trade Value Shares
Change
Change in
Stake
NRD
576
Nebula Research & Development
New York
-$1.55M -28,260 Closed
Asset Management One
577
Asset Management One
Japan
-$1.32M -23,987 Closed
PAS
578
Park Avenue Securities
New York
-$1.21M -21,985 Closed
HSA
579
Hussman Strategic Advisors
Maryland
-$1.15M -21,000 Closed
BGDI
580
BW Gestao de Investimentos
Brazil
-$1.1M -20,100 Closed
OTL
581
Oak Thistle LLC
New York
-$1.1M -20,023 Closed
FC
582
FORA Capital
Florida
-$1.07M -19,568 Closed
JFG
583
Jefferies Financial Group
New York
-$961K -17,499 Closed
QC
584
Quantessence Capital
New York
-$917K -16,700 Closed
NS
585
NBC Securities
Alabama
-$889K -16,204 Closed
AIM
586
Aigen Investment Management
New York
-$858K -15,625 Closed
KA
587
Kovack Advisors
Florida
-$650K -11,831 Closed
OQS
588
Occudo Quantitative Strategies
Florida
-$628K -11,613 Closed
TC
589
TownSquare Capital
Utah
-$634K -11,554 Closed
NVCHI
590
New Vernon Capital Holdings II
New Jersey
-$621K -11,314 Closed
SC
591
Scotia Capital
Ontario, Canada
-$548K -9,979 Closed
USAA
592
United Services Automobile Association
Texas
-$501K -9,266 Closed
EF
593
Empirical Finance
Pennsylvania
-$485K -8,833 Closed
TL
594
Tradewinds LLC
North Carolina
-$471K -8,581 Closed
CAM
595
Cresset Asset Management
Illinois
-$471K -8,522 Closed
CAS
596
CTC Alternative Strategies
Illinois
-$465K -8,460 Closed
CFM
597
Catalyst Funds Management
Australia
-$455K -8,280 Closed
RBI
598
Raiffeisen Bank International
Austria
-$406K -7,503 Closed
HH
599
Hilltop Holdings
Texas
-$412K -7,500 Closed
CMF
600
Counterpoint Mutual Funds
California
-$377K -6,857 Closed