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Micron Technology

Name Holding Trade Value Shares
Change
Change in
Stake
EH
526
Equitable Holdings
New York
$1.52M -$1.24M -21,386 -41%
SC
527
Scotia Capital
Ontario, Canada
$1.51M +$30.1K +519 +2%
GPCM
528
Granite Point Capital Management
Massachusetts
$1.5M
NSEDCP
529
NJ State Employees Deferred Compensation Plan
New Jersey
$1.5M
SAMU
530
SONA Asset Management (US)
New York
$1.5M +$1.74M +30,000 New
UCIG
531
Ulrich Consultants & Investment Group
New Mexico
$1.5M -$84.9K -1,464 -5%
ECM
532
Everence Capital Management
Indiana
$1.48M
CG
533
Cutler Group
California
$1.48M -$1.71M -29,412 -50%
CCP
534
Corient Capital Partners
California
$1.48M +$177K +3,060 +13%
EI
535
Ethic Inc
New York
$1.47M +$87.9K +1,515 +5%
QC
536
Quadrature Capital
United Kingdom
$1.46M +$1.69M +29,139 New
SPC
537
Sigma Planning Corp
Michigan
$1.46M +$113K +1,952 +7%
SA
538
SRN Advisors
Pennsylvania
$1.45M -$35.5K -612 -2%
RGI
539
River Global Investors
United Kingdom
$1.44M +$695K +11,990 +72%
BB
540
Busey Bank
Illinois
$1.44M
EIA
541
Edgemoor Investment Advisors
Maryland
$1.44M -$608K -10,480 -27%
PAM
542
Premier Asset Management
Illinois
$1.42M -$570K -9,819 -26%
RCA
543
Riverview Capital Advisers
Massachusetts
$1.4M
VI
544
Versor Investments
New York
$1.4M -$1.59M -27,488 -50%
Bessemer Group
545
Bessemer Group
New Jersey
$1.4M -$163K -2,810 -9%
SSI
546
Scott & Selber Inc
Texas
$1.4M +$5.74K +99 +0.4%
TW
547
TrinityPoint Wealth
Connecticut
$1.39M -$1.09M -18,739 -40%
AC
548
Allstate Corporation
Illinois
$1.39M -$454K -7,835 -22%
PCOC
549
Power Corp of Canada
Canada
$1.39M +$1.61M +27,720 New
CBTWT
550
Community Bank & Trust (Waco, Texas)
Texas
$1.38M +$8.64K +149 +0.5%