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Name Holding Trade Value Shares
Change
Change in
Stake
AIA
251
Allied Investment Advisors
Montana
$13.5M +$186K +1,140 +1%
BFM
252
Boothbay Fund Management
New York
$13.5M -$8.58M -52,459 -38%
William Blair & Company
253
William Blair & Company
Illinois
$13.3M -$716K -4,378 -5%
Northwestern Mutual Wealth Management
254
Northwestern Mutual Wealth Management
Wisconsin
$13.2M +$765K +4,676 +6%
PFSRSONJ
255
Police & Firemen's Retirement System of New Jersey
New Jersey
$13.1M -$714K -4,366 -5%
AssetMark Inc
256
AssetMark Inc
California
$12.9M +$1.11M +6,798 +9%
SWM
257
SilverOak Wealth Management
Minnesota
$12.8M +$33.4K +204 +0.3%
IGAM
258
iA Global Asset Management
Quebec, Canada
$12.6M +$3.03M +18,535 +31%
Hudson Bay Capital Management
259
Hudson Bay Capital Management
Connecticut
$12.6M -$4.52M -27,666 -26%
SFA
260
Sequoia Financial Advisors
Ohio
$12.6M +$148K +906 +1%
ETC
261
Exchange Traded Concepts
Oklahoma
$12.5M +$12.3M +75,287 +2,657%
Vanguard Personalized Indexing Management
262
Vanguard Personalized Indexing Management
California
$12.4M +$1.09M +6,692 +9%
EAM
263
Erste Asset Management
Austria
$12.2M +$8.03M +49,124 +189%
KOCAA
264
Knights of Columbus Asset Advisors
Connecticut
$12.1M +$162K +989 +1%
Wealthfront Advisers
265
Wealthfront Advisers
California
$12.1M +$333K +2,039 +3%
OAM
266
OP Asset Management
$12.1M +$2.75M +16,836 +29%
AG
267
AIA Group
Hong Kong
$12.1M +$12.3M +75,277 New
CWM
268
CIBC World Markets
New York
$11.8M +$12.1M +73,946 New
Mirae Asset Global ETFs Holdings
269
Mirae Asset Global ETFs Holdings
Hong Kong
$11.8M -$715K -4,373 -6%
Rockefeller Capital Management
270
Rockefeller Capital Management
New York
$11.8M -$29.6K -181 -0.2%
Simplex Trading
271
Simplex Trading
Illinois
$11.8M +$974K +5,959 +9%
NYLIM
272
New York Life Investment Management
New York
$11.6M +$82.6K +505 +0.7%
Pathstone Holdings
273
Pathstone Holdings
New Jersey
$11.6M +$543K +3,318 +5%
Lido Advisors
274
Lido Advisors
California
$11.5M +$108K +663 +0.9%
ACIM
275
Azimuth Capital Investment Management
Michigan
$11.3M -$128K -780 -1%