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MON

Monsanto Co
MON

Delisted

MON was delisted on the 6th of June, 2018.

Name Holding Trade Value Shares
Change
Change in
Stake
NMIMC
126
Northwestern Mutual Investment Management Company
Wisconsin
$31.8M -$9M -99,686 -22%
Temasek Holdings
127
Temasek Holdings
Singapore
$31.6M -$13M -143,955 -29%
Canada Life
128
Canada Life
Manitoba, Canada
$31.2M -$1.07M -11,866 -3%
US Bancorp
129
US Bancorp
Minnesota
$31.1M +$944K +10,461 +3%
PAMU
130
Pictet Asset Management (UK)
United Kingdom
$28.9M +$64.2K +711 +0.2%
TCM
131
Tetrem Capital Management
Manitoba, Canada
$28.5M +$5.94M +65,856 +25%
Voloridge Investment Management
132
Voloridge Investment Management
Florida
$28.3M +$26.9M +298,429 +1,256%
GC
133
Guggenheim Capital
Illinois
$28.2M +$362K +4,008 +1%
O
134
OppenheimerFunds
New York
$27.5M -$2.21M -24,451 -7%
HJGA
135
Hardman Johnston Global Advisors
Connecticut
$26.8M +$15.5K +172 +0.1%
Credit Agricole
136
Credit Agricole
France
$26.5M +$4.67M +51,709 +21%
Alyeska Investment Group
137
Alyeska Investment Group
Illinois
$25.8M -$1.75M -19,354 -6%
Ohio Public Employees Retirement System (OPERS)
138
Ohio Public Employees Retirement System (OPERS)
Ohio
$25M -$2.36M -26,200 -8%
Axa
139
Axa
France
$24.6M +$2.66M +29,426 +12%
VOYA Investment Management
140
VOYA Investment Management
Georgia
$24.1M +$1.13M +12,543 +5%
SO
141
STRS Ohio
Ohio
$24M +$100K +1,113 +0.4%
NFA
142
Nationwide Fund Advisors
Ohio
$23.9M -$446K -4,944 -2%
Retirement Systems of Alabama
143
Retirement Systems of Alabama
Alabama
$23.7M -$157K -1,736 -0.6%
CI
144
Capital International
California
$23M +$1.99M +22,000 +9%
National Pension Service
145
National Pension Service
South Korea
$22.6M +$945K +10,467 +4%
NSLI
146
Nan Shan Life Insurance
Taiwan
$22.4M
Aviva
147
Aviva
United Kingdom
$22.3M -$426K -4,715 -2%
Teacher Retirement System of Texas
148
Teacher Retirement System of Texas
Texas
$22.3M -$15.2M -167,949 -40%
MLICM
149
Metropolitan Life Insurance Company (MetLife)
New York
$22M -$349K -3,871 -2%
USAA
150
United Services Automobile Association
Texas
$22M -$4M -44,324 -15%