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LOGM

LogMein, Inc.
LOGM

Delisted

LOGM was delisted on the 28th of August, 2020.

Name Holding Trade Value Shares
Change
Change in
Stake
New York State Common Retirement Fund
76
New York State Common Retirement Fund
New York
$3.46M +$241K +3,461 +7%
Fisher Asset Management
77
Fisher Asset Management
Washington
$3.38M +$3.5M +50,300 New
AII
78
AGF Investments Inc
Ontario, Canada
$3.29M
SGAM
79
Smith Group Asset Management
Texas
$3.28M -$536K -7,700 -14%
RIA
80
RPG Investment Advisory
California
$3.26M +$3.38M +48,650 New
First Trust Advisors
81
First Trust Advisors
Illinois
$3.19M -$619K -8,900 -16%
Goldman Sachs
82
Goldman Sachs
New York
$3.11M -$12.7M -182,416 -80%
ERSOT
83
Employees Retirement System of Texas
Texas
$3.09M -$348K -5,000 -10%
California State Teachers Retirement System (CalSTRS)
84
California State Teachers Retirement System (CalSTRS)
California
$3.06M +$48.7K +700 +2%
AllianceBernstein
85
AllianceBernstein
Tennessee
$2.69M +$4.66K +67 +0.2%
UBS AM
86
UBS AM
Illinois
$2.67M +$40.6K +583 +1%
New York State Teachers Retirement System (NYSTRS)
87
New York State Teachers Retirement System (NYSTRS)
New York
$2.48M -$6.96K -100 -0.3%
JP Morgan Chase
88
JP Morgan Chase
New York
$2.4M -$209K -3,000 -8%
Swiss National Bank
89
Swiss National Bank
Switzerland
$2.38M
BIM
90
Bogle Investment Management
Massachusetts
$2.25M -$118K -1,701 -5%
Barclays
91
Barclays
United Kingdom
$2.24M +$1.86M +26,798 +403%
NFA
92
Nationwide Fund Advisors
Ohio
$2.13M +$17.4K +250 +0.8%
NI
93
Numeric Investors
Massachusetts
$2.03M -$1.25M -17,900 -37%
RhumbLine Advisers
94
RhumbLine Advisers
Massachusetts
$2.02M +$144K +2,075 +7%
AIG
95
American International Group
New York
$1.92M +$765K +10,997 +62%
EIM
96
Essex Investment Management
Massachusetts
$1.88M -$35.5K -510 -2%
TAM
97
THB Asset Management
Connecticut
$1.84M -$533K -7,660 -22%
AQR Capital Management
98
AQR Capital Management
Connecticut
$1.83M +$175K +2,512 +10%
FHAM
99
Folger Hill Asset Management
New York
$1.8M +$1.86M +26,800 New
PP
100
Peconic Partners
New York
$1.69M -$1.39M -20,000 -40%