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JAH

JARDEN CORPORATION
JAH

Delisted

JAH was delisted on the 15th of April, 2016.

Name Holding Trade Value Shares
Change
Change in
Stake
Ameriprise
51
Ameriprise
Minnesota
$32.8M -$853K -22,378 -3%
RHBC
52
R.H. Bluestein & Co
Michigan
$31.3M +$807K +21,164 +3%
SM
53
Stratton Management
Pennsylvania
$29.5M
AAMU
54
Amundi Asset Management US
Massachusetts
$28.6M +$2.87M +75,357 +12%
New York State Common Retirement Fund
55
New York State Common Retirement Fund
New York
$28.3M -$429K -11,258 -2%
EBIM
56
Eagle Boston Investment Management
Massachusetts
$27.1M -$941K -24,702 -3%
CB
57
Commerce Bank
Missouri
$27M +$444K +11,637 +2%
VNIM
58
Vaughan Nelson Investment Management
Texas
$26.1M +$25.1M +659,550 New
JGC
59
J. Goldman & Co
New York
$26.1M +$25.1M +658,673 New
JHIU
60
Janus Henderson Investors US
Colorado
$25.4M -$5.85M -153,375 -19%
ARC
61
Absolute Return Capital
Massachusetts
$24.3M +$21.1M +554,686 +925%
FA
62
Friess Associates
Delaware
$23.7M +$5.03K +132 +0%
AIMCA
63
Alberta Investment Management Corp (AIMCo)
Alberta, Canada
$23.6M +$1.5M +39,345 +7%
State of New Jersey Common Pension Fund D
64
State of New Jersey Common Pension Fund D
New Jersey
$23.6M +$22.7M +596,250 New
CAM
65
Congress Asset Management
Massachusetts
$22.9M +$1.46M +38,209 +7%
Natixis Advisors
66
Natixis Advisors
Massachusetts
$22.5M +$5.68M +148,905 +35%
Wells Fargo
67
Wells Fargo
California
$21.7M -$12.6M -331,353 -38%
FWCM
68
Ferguson Wellman Capital Management
Oregon
$21.2M -$15.3M -400,289 -43%
BIM
69
BlackRock Investment Management
Delaware
$21.1M -$106K -2,770 -0.5%
AC
70
Ascend Capital
California
$19.4M -$17.1M -448,251 -48%
California Public Employees Retirement System
71
California Public Employees Retirement System
California
$19.3M +$172K +4,500 +0.9%
Principal Financial Group
72
Principal Financial Group
Iowa
$19.1M -$826K -21,663 -4%
IIM
73
Ivory Investment Management
New York
$18.3M +$17.6M +462,137 New
US Bancorp
74
US Bancorp
Minnesota
$18.1M +$863K +22,635 +5%
Allianz Asset Management
75
Allianz Asset Management
Germany
$18M -$6.27M -164,580 -27%