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Coca-Cola

Name Holding Trade Value Shares
Change
Change in
Stake
MC
626
Martin & Co
Tennessee
$4.25M -$2.64K -65 -0.1%
ACM
627
Argyle Capital Management
Pennsylvania
$4.24M -$8.12K -200 -0.2%
AAMU
628
AEGON Asset Management (UK)
United Kingdom
$4.23M
RBC
629
Ronald Blue & Co
Georgia
$4.21M +$39.1K +963 +1%
SC
630
Schulhoff & Co
Ohio
$4.21M +$423K +10,428 +12%
KFC
631
Klingenstein Fields & Co
New York
$4.2M -$90K -2,219 -2%
OCM
632
Olstein Capital Management
New York
$4.19M
NAM
633
NTV Asset Management
West Virginia
$4.19M +$126K +3,106 +3%
WCM
634
Weik Capital Management
Pennsylvania
$4.19M -$50K -1,232 -1%
QCMC
635
Quantum Capital Management (California)
California
$4.18M +$91.5K +2,254 +2%
PL
636
Perpetual Ltd
Australia
$4.18M +$538K +13,269 +16%
FBP
637
Flippin Bruce & Porter
Virginia
$4.17M -$12.2K -300 -0.3%
ADBIC
638
A.D. Beadell Investment Counsel
Wisconsin
$4.14M -$4.46K -110 -0.1%
LCP
639
Legacy Capital Partners
Wisconsin
$4.14M -$113K -2,795 -3%
EWM
640
Evercore Wealth Management
New York
$4.13M -$397K -9,779 -9%
FNB
641
First Niagara Bank
New York
$4.11M -$69.8K -1,719 -2%
CIP
642
Chartwell Investment Partners
Pennsylvania
$4.11M -$20.3K -500 -0.5%
FBT
643
First Bankers Trust
Kentucky
$4.05M -$35.5K -875 -0.9%
TBNY
644
Trustco Bank (New York)
New York
$4.04M -$105K -2,600 -3%
PVH
645
Psagot Value Holdings
Israel
$3.99M +$170K +4,200 +5%
WC
646
Woodstock Corp
Massachusetts
$3.99M -$3.04K -75 -0.1%
FGP
647
Foyston, Gordon, & Payne
Ontario, Canada
$3.97M
VFS
648
VSR Financial Services
Kansas
$3.92M -$180K -4,446 -5%
BFG
649
Beacon Financial Group
Texas
$3.91M +$3.04M +74,888 +421%
DIA
650
Denver Investment Advisors
Colorado
$3.9M -$35K -862 -0.9%