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Integra LifeSciences

Name Holding Trade Value Shares
Change
Change in
Stake
SEC
201
Seven Eight Capital
New York
$307K -$1.62M -27,200 -84%
FRM
202
Fox Run Management
Connecticut
$305K +$311K +5,230 New
KC
203
Kepos Capital
New York
$301K +$307K +5,165 New
GCP
204
GSA Capital Partners
United Kingdom
$296K -$792K -13,305 -72%
CCA
205
Conestoga Capital Advisors
Pennsylvania
$291K
SCM
206
Shelton Capital Management
Colorado
$275K
JG
207
Jefferies Group
New York
$274K +$79K +1,327 +39%
GT
208
Glenmede Trust
Pennsylvania
$263K +$1.25K +21 +0.5%
Susquehanna International Group
209
Susquehanna International Group
Pennsylvania
$262K +$268K +4,496 New
NIC
210
Northwest Investment Counselors
Oregon
$255K
MOS
211
MGO One Seven
Ohio
$249K +$1.55K +26 +0.6%
Verition Fund Management
212
Verition Fund Management
Connecticut
$249K +$254K +4,275 New
SM
213
Sciencast Management
New Jersey
$248K +$258K +4,329 New
BC
214
Burney Company
Virginia
$242K -$17.9K -300 -7%
PHK
215
Point72 Hong Kong
Hong Kong
$241K +$142K +2,380 +136%
OR
216
Olympiad Research
Connecticut
$237K +$242K +4,066 New
SLG
217
Stanley-Laman Group
Pennsylvania
$233K
ZB
218
Zions Bancorporation
Utah
$229K -$27.1K -456 -10%
LIA
219
LS Investment Advisors
Michigan
$223K -$79.2K -1,331 -26%
JMPWA
220
JP Morgan Private Wealth Advisors
California
$210K -$49.8K -837 -19%
MML Investors Services
221
MML Investors Services
Massachusetts
$201K +$205K +3,445 New
Simplex Trading
222
Simplex Trading
Illinois
$199K +$204K +3,427 New
WT
223
Whittier Trust
California
$195K
LTFS
224
Ladenburg Thalmann Financial Services
Florida
$140K +$536 +9 +0.4%
NIT
225
NumerixS Investment Technologies
British Columbia, Canada
$111K +$47.6K +800 +72%