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Name Holding Trade Value Shares
Change
Change in
Stake
PWM
376
Perigon Wealth Management
California
$645K +$1.75K +8 +0.3%
CAM
377
Cresset Asset Management
Illinois
$637K +$2.63K +12 +0.5%
CB
378
Commerce Bank
Missouri
$631K +$12.7K +58 +2%
YMRC
379
Yorktown Management & Research Company
Virginia
$630K – – –
OAM
380
Origin Asset Management
United Kingdom
$630K +$569K +2,600 New
Franklin Resources
381
Franklin Resources
California
$611K +$96K +439 +21%
OTPPB
382
Ontario Teachers' Pension Plan Board
Ontario, Canada
$609K +$7.88K +36 +1%
QI
383
QS Investors
New York
$609K +$131K +600 +31%
O
384
Ossiam
France
$608K +$294K +1,344 +141%
HA
385
Harbor Advisors
Florida
$606K – – –
SP
386
Symmetry Partners
Connecticut
$606K – – –
AP
387
Advisor Partners
California
$604K +$13.1K +60 +2%
US Bancorp
388
US Bancorp
Minnesota
$594K +$61K +279 +13%
HIM
389
Hillsdale Investment Management
Ontario, Canada
$593K +$536K +2,450 New
RJT
390
Raymond James Trust
Florida
$581K -$123K -564 -19%
CP
391
Castleview Partners
Texas
$577K +$521K +2,381 New
IRF
392
IBM Retirement Fund
New York
$574K -$122K -556 -19%
Creative Planning
393
Creative Planning
Kansas
$574K -$110K -503 -18%
LP
394
LMR Partners
United Kingdom
$559K +$505K +2,308 New
COI
395
Connable Office Inc
Michigan
$550K – – –
KRSITF
396
Kentucky Retirement Systems Insurance Trust Fund
Kentucky
$543K -$58.4K -267 -11%
PRC
397
Pearl River Capital
Michigan
$541K +$27.8K +127 +6%
CC
398
Chicago Capital
Illinois
$533K – – –
BCM
399
Buckhead Capital Management
Georgia
$516K +$28.4K +130 +7%
SCA
400
Summit Creek Advisors
Minnesota
$511K -$175K -800 -28%