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Eli Lilly

Name Holding Trade Value Shares
Change
Change in
Stake
PGFC
351
Peapack-Gladstone Financial Corp
New Jersey
$5.34M -$247K -2,924 -4%
TAF
352
Tredje AP-fonden
Sweden
$5.3M -$585K -6,933 -10%
Cambridge Investment Research Advisors
353
Cambridge Investment Research Advisors
Iowa
$5.25M +$66.7K +790 +1%
COPPSERS
354
Commonwealth of Pennsylvania Public School Employees Retirement System
Pennsylvania
$5.25M -$3.97M -46,985 -43%
SG Americas Securities
355
SG Americas Securities
New York
$5.25M +$3.96M +46,866 +131%
WAM
356
Wolverine Asset Management
Illinois
$5.21M +$1.45M +17,200 +38%
KIA
357
KCM Investment Advisors
California
$5.18M +$300K +3,551 +6%
CG
358
Clinton Group
New York
$5.16M +$5.21M +61,670 New
KCM
359
Kingdon Capital Management
New York
$5.11M +$5.16M +61,100 New
FAAS
360
First Allied Advisory Services
California
$5.11M -$199K -2,362 -4%
Toronto Dominion Bank
361
Toronto Dominion Bank
Ontario, Canada
$5.1M +$333K +3,942 +7%
IIM
362
Intact Investment Management
Quebec, Canada
$5.06M -$203K -2,400 -4%
OC
363
Oppenheimer & Co
New York
$5.05M +$873K +10,342 +21%
SGH
364
Sivik Global Healthcare
Connecticut
$5.02M +$5.07M +60,000 New
Connor, Clark & Lunn Investment Management (CC&L)
365
Connor, Clark & Lunn Investment Management (CC&L)
British Columbia, Canada
$5M +$5.04M +59,725 New
Mirae Asset Global Investments
366
Mirae Asset Global Investments
South Korea
$4.98M -$1.71M -20,275 -25%
DY
367
Dowling & Yahnke
California
$4.94M +$17.1K +203 +0.3%
WSFS
368
Wilmington Savings Fund Society
Delaware
$4.8M -$62.5K -740 -1%
AMI
369
Amica Mutual Insurance
Rhode Island
$4.8M -$667K -7,901 -12%
WA
370
WealthTrust Axiom
Pennsylvania
$4.79M -$856K -10,139 -15%
Federated Hermes
371
Federated Hermes
Pennsylvania
$4.77M -$24.7M -292,176 -84%
FCI
372
Financial Counselors Inc
Kansas
$4.71M -$529K -6,270 -10%
Northwestern Mutual Wealth Management
373
Northwestern Mutual Wealth Management
Wisconsin
$4.7M +$1.05M +12,427 +28%
PA
374
Pinnacle Associates
New York
$4.69M -$206K -2,444 -4%
TH
375
Timber Hill
Connecticut
$4.67M +$4.71M +55,802 New