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National Fuel Gas

Name Holding Trade Value Shares
Change
Change in
Stake
SCM
276
Sterling Capital Management
North Carolina
$829K -$19.8K -240 -2%
WG
277
Welch Group
Alabama
$809K
FC
278
FORA Capital
Florida
$805K +$871K +10,574 New
ECM
279
Evergreen Capital Management
Washington
$780K -$90K -1,092 -10%
IC
280
IEQ Capital
California
$753K -$5.03M -61,056 -87%
MFG
281
Merit Financial Group
Georgia
$743K -$82.5K -1,001 -10%
XT
282
XTX Topco
Cayman Islands
$737K +$148K +1,794 +24%
Mirae Asset Global ETFs Holdings
283
Mirae Asset Global ETFs Holdings
Hong Kong
$731K +$752K +9,127 New
B
284
Bailard
California
$724K
CL
285
CSS LLC
Illinois
$710K +$283K +3,430 +63%
PAG
286
Private Advisor Group
New Jersey
$708K -$174K -2,117 -19%
NA
287
Nottingham Advisors
New York
$708K -$17.7K -215 -2%
VI
288
Versor Investments
New York
$697K -$198K -2,400 -22%
ET
289
Entropy Technologies
New York
$696K +$716K +8,692 New
CSP
290
Cary Street Partners
Virginia
$695K +$115K +1,400 +19%
MA
291
MBA Advisors
Pennsylvania
$692K
JMA
292
J.M. Arbour
Maine
$691K +$711K +8,625 New
PWA
293
Phoenix Wealth Advisors
North Carolina
$686K -$11.4K -138 -2%
MOS
294
MGO One Seven
Ohio
$678K -$2.64K -32 -0.4%
Balyasny Asset Management
295
Balyasny Asset Management
Illinois
$667K -$122K -1,484 -15%
FRM
296
Fox Run Management
Connecticut
$667K +$686K +8,332 New
IA
297
Inspire Advisors
Idaho
$660K -$504K -6,123 -43%
X
298
Xponance
Pennsylvania
$657K -$145K -1,754 -18%
CGH
299
Crossmark Global Holdings
Texas
$647K +$1.9K +23 +0.3%
Aviva
300
Aviva
United Kingdom
$616K +$104K +1,266 +20%