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Pediatrix Medical

Name Holding Trade Value Shares
Change
Change in
Stake
SFP
226
Santa Fe Partners
New Mexico
$660K -$667K -11,336 -50%
QT
227
Quantbot Technologies
New York
$656K +$228K +3,876 +52%
FA
228
FDx Advisors
Illinois
$651K +$21.8K +371 +3%
Los Angeles Capital Management
229
Los Angeles Capital Management
California
$648K +$297K +5,050 +83%
SCM
230
Shelton Capital Management
Colorado
$643K
VKH
231
Virtu KCG Holdings
New York
$625K -$109K -1,852 -15%
WTNA
232
Wilmington Trust National Association
Delaware
$625K +$48K +815 +8%
WB
233
WesBanco Bank
West Virginia
$611K -$23.5K -400 -4%
FB
234
Fulton Bank
Pennsylvania
$599K +$606K +10,292 New
QCMC
235
Quantum Capital Management (California)
California
$582K -$6.71K -114 -1%
PCM
236
Parsons Capital Management
Rhode Island
$561K -$38.2K -650 -6%
AA
237
ALPS Advisors
Colorado
$555K +$14.4K +244 +3%
TRCT
238
Tower Research Capital (TRC)
New York
$552K +$500K +8,502 +859%
SKK
239
Shepherd Kaplan Krochuk
Massachusetts
$538K -$123K -2,082 -18%
IPC
240
Independent Portfolio Consultants
Florida
$531K -$467K -7,935 -47%
Franklin Resources
241
Franklin Resources
California
$529K +$535K +9,100 New
Calamos Advisors
242
Calamos Advisors
Illinois
$506K
DIA
243
Dean Investment Associates
Ohio
$500K -$10.7K -182 -2%
NCA
244
NCM Capital Advisers
North Carolina
$488K
EMG
245
Ellington Management Group
Connecticut
$483K +$488K +8,300 New
IRS
246
Invictus RG (Singapore)
Singapore
$478K +$484K +8,225 New
AB
247
Amalgamated Bank
New York
$477K -$20.9K -355 -4%
SI
248
Stephens Inc
Arkansas
$477K -$11.9K -202 -2%
AG
249
Aperio Group
California
$471K +$13.1K +222 +3%
JG
250
Jefferies Group
New York
$457K +$109K +1,849 +31%