We are live on ! Find out more
INGR icon

Ingredion

Name Holding Trade Value Shares
Change
Change in
Stake
PTP
676
Platform Technology Partners
New York
– -$245K -2,173 Closed
MC
677
Machina Capital
France
– -$242K -2,149 Closed
AFG
678
Atomi Financial Group
New York
– -$239K -2,118 Closed
CIBC Asset Management
679
CIBC Asset Management
Ontario, Canada
– -$238K -2,116 Closed
GWP
680
Gateway Wealth Partners
Wisconsin
– -$237K -2,102 Closed
SCM
681
Shelton Capital Management
Colorado
– -$236K -2,097 Closed
OIA
682
OneDigital Investment Advisors
Kansas
– -$236K -2,092 Closed
PA
683
Pinnacle Associates
New York
– -$233K -2,064 Closed
GM
684
GeoWealth Management
Illinois
– -$232K -2,058 Closed
MIAS
685
Mason Investment Advisory Services
Virginia
– -$231K -2,051 Closed
Truist Financial
686
Truist Financial
North Carolina
– -$228K -2,024 Closed
TFA
687
Tranquilli Financial Advisor
New Jersey
– -$227K -2,017 Closed
WA
688
Waverly Advisors
Alabama
– -$224K -1,984 Closed
BTW
689
Boston Trust Walden
Massachusetts
– -$223K -1,978 Closed
ECM
690
Everence Capital Management
Indiana
– -$219K -1,943 Closed
NDBT
691
North Dallas Bank & Trust
Texas
– -$217K -1,930 Closed
VAG
692
VisionPoint Advisory Group
Texas
– -$217K -1,925 Closed
GHA
693
GW Henssler & Associates
Georgia
– -$217K -1,923 Closed
BPWM
694
BCS Private Wealth Management
New Jersey
– -$214K -1,896 Closed
ZIM
695
Zacks Investment Management
Illinois
– -$213K -1,888 Closed
NDSIB
696
North Dakota State Investment Board
North Dakota
– -$210K -1,867 Closed
GCP
697
GSA Capital Partners
United Kingdom
– -$207K -1,840 Closed
EM
698
Excalibur Management
Massachusetts
– -$202K -1,795 Closed
AC
699
AlphaCore Capital
California
– -$161K -1,426 Closed
Mirae Asset Global ETFs Holdings
700
Mirae Asset Global ETFs Holdings
Hong Kong
– -$155K -1,379 Closed