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Marathon Petroleum

Name Holding Trade Value Shares
Change
Change in
Stake
SCM
726
SeaStone Capital Management
New York
-$3.38M -86,600 Closed
VAM
727
Visium Asset Management
New York
-$2.76M -70,602 Closed
HCMT
728
Highland Capital Management (Texas)
Texas
-$2.63M -67,362 Closed
AIMCA
729
Alberta Investment Management Corp (AIMCo)
Alberta, Canada
-$2.6M -66,600 Closed
QT
730
Quantbot Technologies
New York
-$2.41M -61,668 Closed
SCI
731
Seneca Capital Investments
New York
-$2.34M -60,000 Closed
QAM
732
Quantres Asset Management
Cayman Islands
-$2.2M -56,400 Closed
ID
733
Integral Derivatives
New York
-$2.03M -47,876 Closed
VAM
734
Vermillion Asset Management
New York
-$1.82M -46,758 Closed
Walleye Trading
735
Walleye Trading
New York
-$1.94M -45,634 Closed
N
736
Natixis
France
-$1.5M -38,548 Closed
KC
737
Kingfisher Capital
North Carolina
-$1.26M -32,238 Closed
RTIM
738
Round Table Investment Management
North Carolina
-$1.2M -30,800 Closed
TH
739
Timber Hill
Connecticut
-$1.24M -29,186 Closed
Verition Fund Management
740
Verition Fund Management
Connecticut
-$1.12M -28,754 Closed
SEC
741
Seven Eight Capital
New York
-$1.05M -26,984 Closed
BTS
742
BB&T Securities
Virginia
-$1.05M -26,930 Closed
SCM
743
Seamans Capital Management
Massachusetts
-$947K -24,250 Closed
CG
744
Clinton Group
New York
-$875K -22,404 Closed
DTL
745
Dynamic Technology Lab
Singapore
-$718K -18,382 Closed
GC
746
Grace Capital
Massachusetts
-$666K -17,060 Closed
FM
747
Family Management
New York
-$568K -14,550 Closed
AA
748
Apriem Advisors
California
-$553K -14,178 Closed
ARTA
749
A.R.T. Advisors
New York
-$526K -13,500 Closed
PAMG
750
Patton Albertson Miller Group
Tennessee
-$528K -13,300 Closed