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Coca-Cola

Name Holding Trade Value Shares
Change
Change in
Stake
IC
476
InterOcean Capital
Illinois
$6.53M -$2.58M -61,923 -28%
Assenagon Asset Management
477
Assenagon Asset Management
Luxembourg
$6.5M +$6.53M +156,793 New
MI
478
Markston International
New York
$6.42M -$2.17M -52,158 -25%
MCM
479
Monarch Capital Management
Indiana
$6.41M -$952K -22,866 -13%
SI
480
Sentry Investments
Ontario, Canada
$6.37M +$6.4M +153,700 New
UB
481
UMB Bank
Missouri
$6.34M -$65.5K -1,575 -1%
WCM
482
Wallace Capital Management
Texas
$6.23M -$19K -457 -0.3%
BM
483
Bislett Management
California
$6.22M
CB
484
Chemical Bank
Michigan
$6.2M +$343K +8,248 +6%
DCM
485
Decatur Capital Management
Georgia
$6.17M -$54.1K -1,300 -0.9%
MCM
486
Murphy Capital Management
New Jersey
$6.13M -$446K -10,728 -7%
CAN
487
Cetera Advisor Networks
California
$6.11M -$3.08M -74,061 -33%
LIC
488
Lodestar Investment Counsel
Illinois
$6.11M -$59.3K -1,425 -1%
BAC
489
Boys Arnold & Co
North Carolina
$6.1M -$7.74K -186 -0.1%
Bessemer Group
490
Bessemer Group
New Jersey
$6.09M -$325K -7,798 -5%
CC
491
Colrain Capital
Massachusetts
$6.04M -$1.57M -37,750 -21%
Ninety One (UK)
492
Ninety One (UK)
United Kingdom
$6.03M +$721K +17,335 +14%
SCA
493
Stonebridge Capital Advisors
Minnesota
$6.01M +$268K +6,440 +5%
PAMG
494
Patton Albertson Miller Group
Tennessee
$6M -$129K -3,108 -2%
CI
495
Cigna Investments
Connecticut
$5.94M +$5.96M +143,249 New
WTC
496
WhitTier Trust Company
Nevada
$5.92M -$45.1K -1,084 -0.8%
APFBOT
497
Amica Pension Fund Board of Trustees
Rhode Island
$5.8M
SIG
498
Sky Investment Group
Connecticut
$5.8M +$74.3K +1,785 +1%
BST
499
Bath Savings Trust
Maine
$5.74M -$24.3K -584 -0.4%
GW
500
GW & Wade
Massachusetts
$5.71M -$1.24M -29,831 -18%