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LLL

L3 Technologies, Inc.

Delisted

LLL was delisted on the 28th of June, 2019.

Name Holding Trade Value Shares
Change
Change in
Stake
Citigroup
76
Citigroup
New York
$9.47M -$2.73M -22,995 -22%
Manulife (Manufacturers Life Insurance)
77
Manulife (Manufacturers Life Insurance)
Ontario, Canada
$9.46M -$411K -3,464 -4%
Korea Investment Corp
78
Korea Investment Corp
South Korea
$8.95M -$617K -5,200 -6%
PAMU
79
Pictet Asset Management (UK)
United Kingdom
$8.95M -$202K -1,700 -2%
Retirement Systems of Alabama
80
Retirement Systems of Alabama
Alabama
$8.68M +$3.24M +27,332 +60%
APG Asset Management
81
APG Asset Management
Netherlands
$8.43M
RFC
82
Russell Frank Company
Washington
$8.35M -$3.84M -32,342 -32%
RC
83
RegentAtlantic Capital
New Jersey
$8.13M -$933K -7,862 -10%
Chevy Chase Trust
84
Chevy Chase Trust
Maryland
$7.62M -$138K -1,162 -2%
Bank of Montreal
85
Bank of Montreal
Ontario, Canada
$7.56M -$1.05M -8,841 -12%
Natixis Advisors
86
Natixis Advisors
Massachusetts
$7.33M +$482K +4,059 +7%
ACI
87
AMP Capital Investors
Australia
$7.18M -$336K -2,830 -5%
Marshall Wace
88
Marshall Wace
United Kingdom
$7.07M +$1.38M +11,619 +24%
Ameriprise
89
Ameriprise
Minnesota
$7.02M -$7.2M -60,646 -51%
PAM
90
Palisade Asset Management
Minnesota
$6.97M -$150K -1,260 -2%
Canada Life
91
Canada Life
Manitoba, Canada
$6.28M -$275K -2,319 -4%
Teacher Retirement System of Texas
92
Teacher Retirement System of Texas
Texas
$6.17M -$6.3M -53,043 -51%
RCM
93
Riverhead Capital Management
Delaware
$6.07M -$6.01M -50,635 -50%
WBC
94
Westpac Banking Corp
Australia
$6M -$2.04M -17,144 -25%
BCIM
95
British Columbia Investment Management
British Columbia, Canada
$5.97M +$3.18M +26,822 +116%
DCM
96
Dupont Capital Management
Delaware
$5.94M +$363K +3,059 +7%
UBS Group
97
UBS Group
Switzerland
$5.93M -$4.6M -38,740 -44%
Credit Agricole
98
Credit Agricole
France
$5.92M -$409K -3,442 -6%
VOYA Investment Management
99
VOYA Investment Management
Georgia
$5.65M -$337K -2,839 -6%
MLICM
100
Metropolitan Life Insurance Company (MetLife)
New York
$5.05M -$209K -1,759 -4%