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Idexx Laboratories

Name Holding Trade Value Shares
Change
Change in
Stake
GL
376
GLG LLC
New York
$673K -$1.51M -9,600 -69%
MPI
377
Mairs & Power Inc
Minnesota
$672K -$47.2K -300 -7%
MME
378
Meag Munich Ergo
Germany
$668K -$2.92M -18,536 -82%
P
379
Pitcairn
Pennsylvania
$666K -$338K -2,147 -34%
DP
380
Dearborn Partners
Illinois
$660K
TAM
381
Tyers Asset Management
Texas
$658K -$496K -3,152 -43%
FRA
382
Front Row Advisors
California
$649K +$653K +4,151 New
RFC
383
Regions Financial Corp
Alabama
$648K -$5.82K -37 -0.9%
AG
384
Advisor Group
Arizona
$641K -$56.2K -357 -8%
LIA
385
LS Investment Advisors
Michigan
$639K -$120K -762 -16%
OI
386
Oakbrook Investments
Illinois
$634K -$27.5K -175 -4%
CAM
387
Cacti Asset Management
Georgia
$634K
First Manhattan
388
First Manhattan
New York
$633K
KTC
389
Kistler-Tiffany Companies
Pennsylvania
$628K
ERSOT
390
Employees Retirement System of Texas
Texas
$626K -$472K -3,000 -43%
GIP
391
Granite Investment Partners
California
$626K
CG
392
Cutler Group
California
$594K
GH
393
GAM Holding
Switzerland
$586K +$149K +945 +34%
BC
394
Brinker Capital
Pennsylvania
$580K -$2.36K -15 -0.4%
V
395
Veritable
Delaware
$579K -$234K -1,484 -29%
PGA
396
Portland Global Advisors
Maine
$577K
SC
397
Scotia Capital
Ontario, Canada
$571K +$27.7K +176 +5%
CISOA
398
Capital Investment Services of America
Wisconsin
$563K -$118K -750 -17%
NIT
399
NumerixS Investment Technologies
British Columbia, Canada
$563K -$86.6K -550 -13%
WA1
400
Wimmer Associates 1
California
$563K