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Merit Medical Systems

Name Holding Trade Value Shares
Change
Change in
Stake
DT
176
Diversified Trust
Tennessee
$825K +$8.05K +99 +1%
WAM
177
Wakefield Asset Management
Colorado
$821K -$138K -1,695 -15%
SFI
178
Susquehanna Fundamental Investments
Pennsylvania
$779K -$24.4K -300 -3%
TD Asset Management
179
TD Asset Management
Ontario, Canada
$778K +$756K +9,300 New
Stifel Financial
180
Stifel Financial
Missouri
$751K -$93.1K -1,144 -11%
ZIM
181
Zacks Investment Management
Illinois
$746K -$103K -1,266 -12%
ProShare Advisors
182
ProShare Advisors
Maryland
$744K +$62.4K +767 +9%
Public Employees Retirement Association of Colorado
183
Public Employees Retirement Association of Colorado
Colorado
$688K
Bank of Montreal
184
Bank of Montreal
Ontario, Canada
$677K -$153K -1,885 -19%
EGM
185
Engineers Gate Manager
New York
$660K +$641K +7,886 New
KI
186
Kapitalo Investimentos
Brazil
$653K +$635K +7,803 New
NRD
187
Nebula Research & Development
New York
$628K +$259K +3,189 +74%
VI
188
Vestcor Inc
New Brunswick, Canada
$617K
TC
189
TwinBeech Capital
New York
$613K +$597K +7,334 New
Verition Fund Management
190
Verition Fund Management
Connecticut
$600K +$118K +1,455 +25%
I
191
InceptionR
California
$591K +$575K +7,070 New
Mariner
192
Mariner
Kansas
$588K -$2.77K -34 -0.5%
Franklin Resources
193
Franklin Resources
California
$586K +$976 +12 +0.2%
NA
194
NewEdge Advisors
Louisiana
$547K -$35.7K -439 -6%
PAMS
195
Pictet Asset Management (Switzerland)
Switzerland
$530K -$52.1K -641 -9%
PFA
196
Petra Financial Advisors
Colorado
$527K +$512K +6,296 New
Truist Financial
197
Truist Financial
North Carolina
$526K -$298K -3,661 -37%
CW
198
CreativeOne Wealth
Kansas
$520K +$506K +6,221 New
CGH
199
Crossmark Global Holdings
Texas
$519K +$488 +6 +0.1%
NYLIM
200
New York Life Investment Management
New York
$508K -$81.7K -1,005 -14%