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Pediatrix Medical

Name Holding Trade Value Shares
Change
Change in
Stake
Credit Agricole
101
Credit Agricole
France
$8.4M +$2.05M +30,844 +31%
State Board of Administration of Florida Retirement System
102
State Board of Administration of Florida Retirement System
Florida
$8.33M -$182K -2,750 -2%
Los Angeles Capital Management
103
Los Angeles Capital Management
California
$8.33M -$2.83M -42,637 -25%
GPGA
104
Grandeur Peak Global Advisors
Utah
$8.1M +$2.22M +33,400 +36%
BA
105
BlackRock Advisors
Delaware
$8.05M +$116K +1,754 +1%
Retirement Systems of Alabama
106
Retirement Systems of Alabama
Alabama
$7.82M +$7.5K +113 +0.1%
Canada Pension Plan Investment Board
107
Canada Pension Plan Investment Board
Ontario, Canada
$7.68M -$6.35M -95,700 -45%
BJ
108
BlackRock Japan
Japan
$7.51M -$25.3K -381 -0.3%
NONA
109
Ninety One North America
New York
$7.48M +$292K +4,396 +4%
Fidelity International
110
Fidelity International
Bermuda
$7.29M +$361K +5,437 +5%
BlackRock
111
BlackRock
New York
$7.23M +$914K +13,776 +14%
Envestnet Asset Management
112
Envestnet Asset Management
Illinois
$7.19M +$364K +5,482 +5%
Voloridge Investment Management
113
Voloridge Investment Management
Florida
$7.15M +$7.34M +110,588 New
Natixis Advisors
114
Natixis Advisors
Massachusetts
$7.14M +$1.86M +28,029 +34%
ACB
115
Aristotle Capital Boston
Massachusetts
$7.13M +$144K +2,177 +2%
Macquarie Group
116
Macquarie Group
Australia
$6.92M +$3.1M +46,775 +78%
JP Morgan Chase
117
JP Morgan Chase
New York
$6.41M -$249K -3,752 -4%
AQR Capital Management
118
AQR Capital Management
Connecticut
$6.21M +$1.38M +20,751 +28%
BTW
119
Boston Trust Walden
Massachusetts
$6.16M +$5.97K +90 +0.1%
PPA
120
Parametric Portfolio Associates
Washington
$6.04M -$763K -11,497 -11%
AWCI
121
Alpine Woods Capital Investors
New York
$5.91M
RFC
122
Russell Frank Company
Washington
$5.87M -$3.23M -48,750 -35%
UIM
123
USS Investment Management
United Kingdom
$5.67M +$5.82M +87,808 New
MLICM
124
Metropolitan Life Insurance Company (MetLife)
New York
$5.65M +$146K +2,200 +3%
QI
125
Qualcomm Inc
California
$5.51M