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Knight Transportation

Name Holding Trade Value Shares
Change
Change in
Stake
TCAM
251
Turtle Creek Asset Management
Ontario, Canada
$714K
BL
252
BFSG LLC
California
$708K +$132K +2,770 +22%
PHK
253
Point72 Hong Kong
Hong Kong
$700K +$736K +15,408 New
FMT
254
First Mercantile Trust
Tennessee
$696K -$52K -1,089 -7%
X
255
Xponance
Pennsylvania
$683K +$102K +2,142 +17%
Jennison Associates
256
Jennison Associates
New York
$678K -$75.6K -1,583 -10%
AII
257
AGF Investments Inc
Ontario, Canada
$663K +$501K +10,498 +257%
SC
258
Samlyn Capital
New York
$661K -$409K -8,555 -37%
SGI
259
Summit Global Investments
Utah
$636K +$401K +8,400 +150%
SAM
260
Sompo Asset Management
Japan
$623K -$12.4K -260 -2%
WCM
261
Washington Capital Management
Washington
$621K
CAM
262
Cozad Asset Management
Illinois
$594K -$23.9K -500 -4%
WG
263
Winton Group
United Kingdom
$593K -$131K -2,751 -17%
AIL
264
AGF Investments LLC
Ontario, Canada
$586K -$84K -1,759 -12%
Osaic Holdings
265
Osaic Holdings
Arizona
$578K +$73.6K +1,541 +14%
ETC
266
Exchange Traded Concepts
Oklahoma
$564K +$50.3K +1,053 +9%
BAMF
267
BI Asset Management Fondsmaeglerselskab
Denmark
$564K +$593K +12,415 New
Fidelity International
268
Fidelity International
Bermuda
$551K -$237K -4,968 -29%
MSRPS
269
Maryland State Retirement & Pension System
Maryland
$524K +$56.8K +1,190 +12%
AWM
270
AE Wealth Management
Kansas
$514K +$85.1K +1,781 +19%
SAM
271
Securian Asset Management
Minnesota
$512K -$14.9K -311 -3%
KeyBank National Association
272
KeyBank National Association
Ohio
$479K -$259K -5,420 -34%
PP
273
Paloma Partners
Connecticut
$477K -$513K -10,740 -51%
YMRC
274
Yorktown Management & Research Company
Virginia
$477K +$71.6K +1,500 +17%
DTL
275
Dynamic Technology Lab
Singapore
$474K +$498K +10,430 New