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Name Holding Trade Value Shares
Change
Change in
Stake
QOP
176
Quinn Opportunity Partners
Virginia
$613K -$10.9M -937,835 -96%
Twin Tree Management
177
Twin Tree Management
Texas
$605K +$470K +40,332 New
NAAA
178
New Age Alpha Advisors
New York
$600K +$466K +40,000 New
ADIM
179
Alpha DNA Investment Management
Maryland
$583K -$181K -15,570 -29%
PMEF
180
Point72 Middle East FZE
United Arab Emirates
$565K -$3.06M -262,468 -87%
AIM
181
Aigen Investment Management
New York
$550K +$110K +9,417 +34%
Principal Financial Group
182
Principal Financial Group
Iowa
$534K -$46.7K -4,010 -10%
BFS
183
Bard Financial Services
Connecticut
$528K -$100K -8,600 -20%
Fisher Asset Management
184
Fisher Asset Management
Washington
$527K -$435K -37,385 -52%
Public Employees Retirement Association of Colorado
185
Public Employees Retirement Association of Colorado
Colorado
$524K
DTL
186
Dynamic Technology Lab
Singapore
$524K +$181K +15,509 +80%
Osaic Holdings
187
Osaic Holdings
Arizona
$520K -$140K -12,026 -26%
Commonwealth Equity Services
188
Commonwealth Equity Services
Massachusetts
$516K +$29.6K +2,543 +8%
Pathstone Holdings
189
Pathstone Holdings
New Jersey
$515K +$396K +34,000 New
M1FG
190
Mach-1 Financial Group
Arkansas
$506K -$160K -13,755 -29%
MG
191
Marex Group
$500K -$1.06M -90,814 -73%
BC
192
Bridgefront Capital
Texas
$498K +$387K +33,195 New
IIM
193
INTECH Investment Management
Florida
$484K -$387K -33,249 -51%
FRM
194
Fox Run Management
Connecticut
$483K +$161K +13,801 +75%
AWM
195
AE Wealth Management
Kansas
$459K -$158K -13,550 -27%
AAM
196
Advisors Asset Management
Colorado
$448K -$31.2K -2,676 -8%
AWM
197
Austin Wealth Management
Texas
$448K +$291K +25,000 New
OA
198
Oracle Alpha
Ontario, Canada
$446K +$347K +29,778 New
Mariner
199
Mariner
Kansas
$435K +$96.3K +8,270 +40%
OL
200
Optas LLC
Texas
$425K -$58.4K -5,014 -15%