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Lightpath Technologies

Name Holding Trade Value Shares
Change
Change in
Stake
S
76
Steadtrust
Texas
$873K -$41.9K -3,000 -5%
BFS
77
Bradley Foster & Sargent
Connecticut
$872K
Wells Fargo
78
Wells Fargo
California
$862K +$705K +50,495 +2,262%
WG
79
Winton Group
United Kingdom
$835K +$713K +51,100 New
PHS
80
Pekin Hardy Strauss
Illinois
$647K +$147K +10,500 +36%
Osaic Holdings
81
Osaic Holdings
Arizona
$610K +$355K +25,461 +215%
HCA
82
Harbor Capital Advisors
Illinois
$608K -$339K -24,298 -40%
CIAM
83
Caitong International Asset Management
Hong Kong
$583K +$498K +35,676 New
AllianceBernstein
84
AllianceBernstein
Tennessee
$580K +$807K +57,800 New
Citigroup
85
Citigroup
New York
$544K +$267K +19,151 +136%
Barclays
86
Barclays
United Kingdom
$540K -$8.93K -640 -2%
MIM
87
MetLife Investment Management
New Jersey
$532K +$454K +32,559 New
RRA
88
Round Rock Advisors
Connecticut
$502K +$160K +11,452 +60%
XT
89
XTX Topco
Cayman Islands
$501K -$1.13M -80,969 -73%
Simplex Trading
90
Simplex Trading
Illinois
$494K -$841K -60,242 -67%
EC
91
EntryPoint Capital
New York
$493K -$468K -33,512 -53%
Invesco
92
Invesco
Georgia
$491K +$419K +30,047 New
QC
93
Quent Capital
New York
$491K
SG Americas Securities
94
SG Americas Securities
New York
$489K -$388K -27,789 -48%
LSPW
95
Lake Street Private Wealth
Illinois
$437K +$93.5K +6,700 +34%
LPL Financial
96
LPL Financial
California
$434K +$371K +26,572 New
CMF
97
Counterpoint Mutual Funds
California
$428K -$5.55M -397,470 -94%
Mirae Asset Global ETFs Holdings
98
Mirae Asset Global ETFs Holdings
Hong Kong
$415K +$354K +25,385 New
IIC
99
Ironwood Investment Counsel
Arizona
$413K -$5.79K -415 -2%
AOWM
100
Asset One Wealth Management
Washington
$402K +$492K +35,216 New