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Coca-Cola

Name Holding Trade Value Shares
Change
Change in
Stake
GLRA
476
Gerald L. Ray & Associates
Texas
$7.34M +$12.7K +280 +0.2%
BC
477
Brookfield Corp
Ontario, Canada
$7.33M – – –
FA
478
FDx Advisors
Illinois
$7.3M +$1.79M +39,676 +33%
PP
479
PDT Partners
New York
$7.29M +$2.07M +45,900 +40%
MCM
480
Murphy Capital Management
New Jersey
$7.25M +$7.09K +157 +0.1%
GIP
481
Greatmark Investment Partners
Georgia
$7.22M -$1.9K -42 -0%
BFG
482
Beacon Financial Group
Texas
$7.22M +$97.8K +2,164 +1%
PSUF
483
People's United Financial
Connecticut
$7.17M -$504K -11,150 -7%
Mirae Asset Global Investments
484
Mirae Asset Global Investments
South Korea
$7.14M -$921K -20,371 -11%
DADC
485
D.A. Davidson & Co
Montana
$7.13M -$431K -9,532 -6%
SCM
486
Stonebridge Capital Management
California
$7.13M -$294K -6,515 -4%
KRSITF
487
Kentucky Retirement Systems Insurance Trust Fund
Kentucky
$7.13M -$864K -19,109 -11%
AAM
488
AR Asset Management
California
$7.12M -$9.04K -200 -0.1%
BCM
489
Buckhead Capital Management
Georgia
$7.05M +$1.55M +34,300 +28%
TCM
490
Twin Capital Management
Pennsylvania
$7.05M -$119K -2,640 -2%
SGK
491
Steigerwald Gordon & Koch
Virginia
$7.03M +$202K +4,467 +3%
CAN
492
Cetera Advisor Networks
California
$6.98M +$368K +8,148 +6%
UB
493
UMB Bank
Missouri
$6.93M -$511K -11,306 -7%
CHC
494
City Holding Co
West Virginia
$6.88M +$3.24M +71,617 +89%
WCM
495
Wallace Capital Management
Texas
$6.87M -$49.8K -1,101 -0.7%
AIP
496
Ameritas Investment Partners
Nebraska
$6.85M +$292K +6,454 +4%
BM
497
Bislett Management
California
$6.8M – – –
LIC
498
Lodestar Investment Counsel
Illinois
$6.75M -$13.6K -300 -0.2%
SCA
499
Salient Capital Advisors
Texas
$6.74M +$85.2K +1,885 +1%
PAMG
500
Patton Albertson Miller Group
Tennessee
$6.73M -$78.9K -1,746 -1%