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Micron Technology

Name Holding Trade Value Shares
Change
Change in
Stake
Man Group
126
Man Group
United Kingdom
$43.5M +$39.9M +833,646 New
EAM
127
Eagle Asset Management
Florida
$43.1M -$20.8M -435,050 -35%
Capital Fund Management (CFM)
128
Capital Fund Management (CFM)
France
$43M +$39.5M +824,726 New
NSLI
129
Nan Shan Life Insurance
Taiwan
$41.7M -$64.1M -1,340,023 -63%
CCI
130
Credit Capital Investments
New Jersey
$41.6M -$2.29M -47,858 -6%
CA
131
Commerzbank Aktiengesellschaft
Germany
$41.4M +$2.47M +51,584 +7%
KCM
132
Kingdon Capital Management
New York
$41.1M +$576K +12,038 +2%
Robeco Institutional Asset Management
133
Robeco Institutional Asset Management
Netherlands
$40.5M +$9.39M +196,106 +34%
CF
134
Cypress Funds
California
$40.1M -$7.9M -165,000 -18%
KBC Group
135
KBC Group
Belgium
$40M -$300K -6,262 -0.8%
LSV Asset Management
136
LSV Asset Management
Illinois
$38.6M +$168K +3,500 +0.5%
BS
137
Banco Santander
Spain
$38.2M +$34.7M +724,108 +7,960%
Ohio Public Employees Retirement System (OPERS)
138
Ohio Public Employees Retirement System (OPERS)
Ohio
$38M -$1.53M -31,982 -4%
RJA
139
Raymond James & Associates
Florida
$37.5M +$11.2M +235,010 +49%
CAIMH
140
Central Asset Investments & Management Holdings
Hong Kong
$37.4M +$3.33M +69,500 +11%
Aberdeen Group
141
Aberdeen Group
United Kingdom
$37.1M -$2.47M -51,671 -7%
VRS
142
Virginia Retirement Systems
Virginia
$36.7M
RCM
143
Redwood Capital Management
New York
$36.5M +$21.5M +450,000 +180%
Grantham, Mayo, Van Otterloo & Co (GMO)
144
Grantham, Mayo, Van Otterloo & Co (GMO)
Massachusetts
$36.2M -$2.22M -46,400 -6%
GQG Partners
145
GQG Partners
Florida
$35.7M -$4.76M -99,404 -13%
ELI
146
Empire Life Investments
Ontario, Canada
$35.2M -$1.14M -23,804 -3%
SCM
147
Sanoor Capital Management
Connecticut
$34.8M +$8.81M +184,000 +38%
BCIM
148
British Columbia Investment Management
British Columbia, Canada
$34.7M -$755K -15,781 -2%
OPERF
149
Oregon Public Employees Retirement Fund
Oregon
$33.6M +$122K +2,559 +0.4%
CMG
150
Cavalry Management Group
California
$33.5M +$30.7M +642,360 New