We are live on ! Find out more
JCI icon

Johnson Controls International

Name Holding Trade Value Shares
Change
Change in
Stake
AWS
476
Atria Wealth Solutions
New York
$816K +$853K +12,397 New
OPS
477
Orion Portfolio Solutions
Nebraska
$815K +$9.43K +137 +1%
CI
478
Cigna Investments
Connecticut
$806K -$254K -3,695 -23%
CPC
479
Cookson Peirce & Co
Pennsylvania
$793K +$53.6K +779 +7%
SF
480
Synovus Financial
Georgia
$786K +$29.3K +425 +4%
IMC Chicago
481
IMC Chicago
Illinois
$782K +$821K +11,924 New
AC
482
Allstate Corporation
Illinois
$781K -$2.9M -42,073 -78%
WS
483
Wedbush Securities
California
$781K -$108K -1,569 -12%
CNC
484
Canandaigua National Corp
New York
$780K +$293K +4,262 +56%
IA
485
IndexIQ Advisors
New York
$778K -$4.27K -62 -0.5%
AB
486
Atlas Brown
Kentucky
$777K +$69 +1 +0%
CNBT
487
Cornerstone National Bank & Trust
Illinois
$776K +$58.4K +849 +8%
Walleye Capital
488
Walleye Capital
New York
$773K +$811K +11,786 New
TC
489
Telemus Capital
Michigan
$772K -$1.03M -14,979 -56%
JHCP
490
Jackson Hole Capital Partners
Oklahoma
$768K +$22.6K +329 +3%
BFEC
491
Benjamin F. Edwards & Company
Missouri
$767K -$2.27K -33 -0.3%
IRF
492
IBM Retirement Fund
New York
$750K -$31.7K -461 -4%
WI
493
WrapManager Inc
California
$747K -$59.4K -863 -7%
HT
494
HAP Trading
New York
$746K -$288K -4,190 -27%
Fifth Third Bancorp
495
Fifth Third Bancorp
Ohio
$741K -$428K -6,212 -35%
MGP
496
Metis Global Partners
California
$733K +$342K +4,968 +80%
VI
497
Vestcor Inc
New Brunswick, Canada
$731K +$162K +2,356 +27%
FRM
498
Fox Run Management
Connecticut
$723K +$552K +8,022 +267%
GIA
499
Gateway Investment Advisers
Ohio
$721K -$2.82K -41 -0.4%
TSS
500
Two Sigma Securities
New York
$700K +$536K +7,787 +270%