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Ingredion

Name Holding Trade Value Shares
Change
Change in
Stake
EGM
201
Engineers Gate Manager
New York
$878K +$923K +11,287 New
BA
202
Bridgewater Associates
Connecticut
$841K +$884K +10,809 New
FIM
203
Fruth Investment Management
Texas
$840K – – –
AIP
204
Ameritas Investment Partners
Nebraska
$836K +$15.1K +184 +2%
SAM
205
Securian Asset Management
Minnesota
$793K +$11.8K +144 +1%
ProShare Advisors
206
ProShare Advisors
Maryland
$787K -$145K -1,777 -15%
SI
207
SII Investments
Wisconsin
$773K +$445K +5,445 +122%
HSBC Holdings
208
HSBC Holdings
United Kingdom
$754K +$433K +5,289 +120%
JG
209
Jefferies Group
New York
$741K +$779K +9,526 New
PA
210
Profund Advisors
Maryland
$732K -$48.9K -598 -6%
PI
211
PineBridge Investments
New York
$693K +$724K +8,850 +16,091%
WT
212
Washington Trust
Rhode Island
$673K -$507K -6,199 -42%
VKH
213
Virtu KCG Holdings
New York
$666K +$325K +3,972 +86%
PVWM
214
Point View Wealth Management
New Jersey
$662K -$10.5K -128 -1%
BHC
215
Bowen Hanes & Co
Florida
$646K -$57.3K -700 -8%
GCA
216
Gideon Capital Advisors
New York
$645K +$678K +8,288 New
AIM
217
Assured Investment Management
New York
$629K +$661K +8,085 New
DTL
218
Dynamic Technology Lab
Singapore
$628K +$660K +8,073 New
OTPPB
219
Ontario Teachers' Pension Plan Board
Ontario, Canada
$600K +$631K +7,710 New
FA
220
FDx Advisors
Illinois
$590K -$156K -1,908 -20%
CEP
221
Chicago Equity Partners
Illinois
$585K +$615K +7,520 New
ACI
222
AMP Capital Investors
Australia
$580K – – –
GMIM
223
General Motors Investment Management
New York
$559K -$430K -5,259 -42%
SCM
224
Shelton Capital Management
Colorado
$536K -$65.9K -805 -10%
CONA
225
Capital One National Association
New York
$530K -$16.4K -201 -3%