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Pediatrix Medical

Name Holding Trade Value Shares
Change
Change in
Stake
OAM
26
Oberweis Asset Management
Illinois
$15M +$2.94M +141,100 +25%
RA
27
Royce & Associates
New York
$14.5M +$8.83M +424,022 +166%
Ameriprise
28
Ameriprise
Minnesota
$14.3M -$75.8K -3,640 -0.5%
CM
29
CastleKnight Management
New York
$13.7M +$5.12M +245,970 +62%
EF
30
Empowered Funds
Pennsylvania
$12.7M -$559K -26,870 -4%
LSV Asset Management
31
LSV Asset Management
Illinois
$12.3M +$2.39M +114,800 +25%
Bank of New York Mellon
32
Bank of New York Mellon
New York
$12.2M -$378K -18,166 -3%
AQR Capital Management
33
AQR Capital Management
Connecticut
$12M +$182K +8,746 +2%
Vanguard Fiduciary Trust
34
Vanguard Fiduciary Trust
Pennsylvania
$11.7M +$11.4M +545,600 New
PAM
35
Panagora Asset Management
Massachusetts
$11.6M +$501K +24,056 +5%
Pacer Advisors
36
Pacer Advisors
Pennsylvania
$10.8M +$258K +12,376 +3%
Principal Financial Group
37
Principal Financial Group
Iowa
$10.2M +$52.1K +2,504 +0.5%
BIP
38
Brandes Investment Partners
California
$9.97M +$493K +23,668 +5%
HIM
39
Hillsdale Investment Management
Ontario, Canada
$9.91M +$269K +12,930 +3%
Raymond James Financial
40
Raymond James Financial
Florida
$9.73M +$3.74M +179,834 +65%
Allianz Asset Management
41
Allianz Asset Management
Germany
$9.59M +$3.81M +183,097 +69%
Public Sector Pension Investment Board (PSP Investments)
42
Public Sector Pension Investment Board (PSP Investments)
Quebec, Canada
$9.01M +$734K +35,284 +9%
Franklin Resources
43
Franklin Resources
California
$8.89M +$7.08M +340,271 +451%
Envestnet Asset Management
44
Envestnet Asset Management
Illinois
$8.32M +$2.14M +102,944 +36%
ACB
45
Aristotle Capital Boston
Massachusetts
$8.29M -$1.09M -52,299 -12%
Bank of America
46
Bank of America
North Carolina
$8.13M -$3.12M -149,736 -28%
CA
47
CSM Advisors
Pennsylvania
$7.75M +$669K +32,129 +10%
UBS Group
48
UBS Group
Switzerland
$6.34M -$6.02M -289,268 -49%
Prudential Financial
49
Prudential Financial
New Jersey
$6.16M +$172K +8,260 +3%
ACH
50
ArrowMark Colorado Holdings
Colorado
$6.13M -$5.82M -279,641 -49%