We are live on ! Find out more
LBTYK icon

Liberty Global Class C

Name Holding Trade Value Shares
Change
Change in
Stake
Mitsubishi UFJ Trust & Banking
76
Mitsubishi UFJ Trust & Banking
Japan
$36M -$4.42M -140,343 -10%
New York State Common Retirement Fund
77
New York State Common Retirement Fund
New York
$35.9M +$13.7M +435,421 +53%
RC
78
Rivulet Capital
New Jersey
$34M +$21.1M +669,500 +129%
JP Morgan Chase
79
JP Morgan Chase
New York
$31.9M -$87.1M -2,761,791 -71%
AA
80
Ancient Art
Texas
$31.6M +$8.34M +264,436 +32%
CS
81
Credit Suisse
Switzerland
$31.5M -$9.08M -288,149 -21%
Robeco Institutional Asset Management
82
Robeco Institutional Asset Management
Netherlands
$31.2M -$5.47M -173,687 -14%
NMVA
83
New Mountain Vantage Advisers
New York
$31.1M -$12.3M -389,437 -26%
Wells Fargo
84
Wells Fargo
California
$28.9M +$2.25M +71,346 +8%
Charles Schwab
85
Charles Schwab
California
$28.5M +$530K +16,811 +2%
TD Asset Management
86
TD Asset Management
Ontario, Canada
$28M +$3.87M +122,860 +14%
GAM
87
Genesis Asset Managers
United Kingdom
$27M +$29.7M +941,102 New
MC
88
MIG Capital
California
$25.4M -$1.04M -32,844 -4%
Dimensional Fund Advisors
89
Dimensional Fund Advisors
Texas
$23.7M +$19.5M +617,961 +297%
BJ
90
BlackRock Japan
Japan
$22.3M -$3.55M -112,507 -13%
Morgan Stanley
91
Morgan Stanley
New York
$22.3M +$7.92M +251,331 +48%
PAM
92
PineView Asset Management
Connecticut
$22.3M +$1.03M +32,678 +4%
USSCPF
93
United States Steel & Carnegie Pension Fund
New York
$21.2M -$3.54M -112,331 -13%
OAM
94
Oxford Asset Management
United Kingdom
$20.3M +$9.06M +287,451 +68%
Aviva
95
Aviva
United Kingdom
$19.9M +$8.9M +282,340 +69%
TIM
96
Thornburg Investment Management
New Mexico
$19.8M -$92.5M -2,934,920 -81%
Millennium Management
97
Millennium Management
New York
$19.2M +$21.1M +669,760 New
PNC Financial Services Group
98
PNC Financial Services Group
Pennsylvania
$17.1M -$3.35M -106,307 -15%
BlackRock
99
BlackRock
New York
$17M -$2.21M -70,255 -11%
TRSOTSOK
100
Teachers Retirement System of the State of Kentucky
Kentucky
$16.9M -$2.37M -75,270 -11%