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Micron Technology

Name Holding Trade Value Shares
Change
Change in
Stake
CIP
126
Cornerstone Investment Partners
Georgia
$42.7M +$3.57M +52,517 +7%
Calamos Advisors
127
Calamos Advisors
Illinois
$42M -$73.8K -1,086 -0.1%
Lord, Abbett & Co
128
Lord, Abbett & Co
New Jersey
$41.5M -$2.98M -43,902 -6%
Mitsubishi UFJ Asset Management
129
Mitsubishi UFJ Asset Management
Japan
$40M +$2.76M +40,698 +6%
Robeco Institutional Asset Management
130
Robeco Institutional Asset Management
Netherlands
$39.9M -$68.3M -1,005,729 -58%
OPERF
131
Oregon Public Employees Retirement Fund
Oregon
$39.1M -$6.45M -94,990 -12%
CA
132
Capitolis Advisors
New York
$38.9M
HP
133
Hosking Partners
United Kingdom
$38.4M -$9.07M -133,501 -16%
FFH
134
Fairfax Financial Holdings
Ontario, Canada
$38.4M +$217K +3,200 +0.5%
PF
135
Phoenix Financial
Israel
$38.4M +$5.67M +83,436 +14%
KP
136
Kiltearn Partners
United Kingdom
$38.2M +$22.1M +326,090 +89%
YAM
137
Yacktman Asset Management
Texas
$37.9M +$219K +3,231 +0.5%
Chevy Chase Trust
138
Chevy Chase Trust
Maryland
$37.9M -$10.3K -152 -0%
Grantham, Mayo, Van Otterloo & Co (GMO)
139
Grantham, Mayo, Van Otterloo & Co (GMO)
Massachusetts
$37.9M +$11.6M +170,796 +33%
CI
140
Clal Insurance
Israel
$37.3M -$23.6M -347,802 -34%
DSC
141
Donald Smith & Co
New York
$36.4M +$1.33M +19,559 +3%
State of New Jersey Common Pension Fund D
142
State of New Jersey Common Pension Fund D
New Jersey
$36.1M -$284K -4,179 -0.6%
Royal London Asset Management
143
Royal London Asset Management
United Kingdom
$35.2M -$645K -9,499 -1%
SAM
144
Storebrand Asset Management
Norway
$34.7M +$1.12M +16,564 +3%
EPFB
145
Employees Provident Fund Board
Malaysia
$33.5M +$27.6M +405,933 +203%
Axa
146
Axa
France
$33.3M -$4.11M -60,452 -9%
Walleye Trading
147
Walleye Trading
New York
$33M +$21.2M +311,591 +109%
Schroder Investment Management Group
148
Schroder Investment Management Group
United Kingdom
$33M +$700K +10,307 +2%
Bank of Nova Scotia
149
Bank of Nova Scotia
Ontario, Canada
$32.7M -$34M -500,327 -46%
PI
150
Pennant Investors
New Jersey
$32.1M