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Microchip Technology

Name Holding Trade Value Shares
Change
Change in
Stake
PC
751
PointState Capital
New York
– -$9.17M -175,100 Closed
PHS
752
PFM Health Sciences
California
– -$8.55M -163,342 Closed
QIM
753
Quantitative Investment Management
Virginia
– -$6.61M -126,200 Closed
ECM
754
ExodusPoint Capital Management
New York
– -$5.86M -111,904 Closed
MWNA
755
Marshall Wace North America
New York
– -$4.68M -89,340 Closed
JG
756
Jefferies Group
New York
– -$4.04M -85,906 Closed
GCM
757
Glaxis Capital Management
Florida
– -$4.47M -85,340 Closed
Verition Fund Management
758
Verition Fund Management
Connecticut
– -$4.36M -83,224 Closed
FIB
759
First Interstate Bank
Montana
– -$3.82M -72,948 Closed
GAB
760
German American Bancorp
Indiana
– -$3.29M -62,812 Closed
Adage Capital Partners
761
Adage Capital Partners
Massachusetts
– -$3.17M -60,600 Closed
OCM
762
Orleans Capital Management
Louisiana
– -$3.05M -58,168 Closed
RIA
763
Regal Investment Advisors
Michigan
– -$2.5M -47,752 Closed
CIA
764
Capital Impact Advisors
Massachusetts
– -$2.31M -44,122 Closed
JWM
765
Jackson Wealth Management
Florida
– -$2.12M -39,620 Closed
AF
766
Alerus Financial
North Dakota
– -$2.05M -39,198 Closed
BPIM
767
Brant Point Investment Management
New York
– -$1.57M -30,064 Closed
SM
768
Sciencast Management
New Jersey
– -$1.6M -29,122 Closed
AI
769
Atria Investments
North Carolina
– -$1.46M -27,956 Closed
BBNA
770
Bremer Bank National Association
Minnesota
– -$1.44M -27,538 Closed
SM
771
Southport Management
Wyoming
– -$1.2M -23,000 Closed
BA
772
Bridgewater Associates
Connecticut
– -$1.08M -20,658 Closed
SAMC
773
Spectrum Asset Management (California)
California
– -$1.05M -20,120 Closed
WCM
774
Weld Capital Management
New York
– -$929K -17,736 Closed
TSS
775
Two Sigma Securities
New York
– -$804K -17,086 Closed