We are live on ! Find out more
NRG icon

NRG Energy

Name Holding Trade Value Shares
Change
Change in
Stake
AAM
126
Aberdeen Asset Management
United Kingdom
$6.14M -$165K -5,268 -3%
Retirement Systems of Alabama
127
Retirement Systems of Alabama
Alabama
$6.13M -$11.6K -373 -0.2%
State of New Jersey Common Pension Fund D
128
State of New Jersey Common Pension Fund D
New Jersey
$6.13M
PCA
129
Personal Capital Advisors
California
$6.12M +$1.41M +45,035 +29%
HCM
130
Highfields Capital Management
Massachusetts
$6.1M +$6.25M +200,000 New
STC
131
SEI Trust Company
Pennsylvania
$6.06M +$2.17M +69,350 +54%
Citigroup
132
Citigroup
New York
$5.98M -$6.54M -209,342 -52%
MLICM
133
Metropolitan Life Insurance Company (MetLife)
New York
$5.9M -$79.3K -2,539 -1%
PAMU
134
Pictet Asset Management (UK)
United Kingdom
$5.62M +$159K +5,100 +3%
Caisse de Depot et Placement du Quebec (CDPQ)
135
Caisse de Depot et Placement du Quebec (CDPQ)
Quebec, Canada
$5.43M -$8M -256,100 -59%
MC
136
Maplelane Capital
New York
$5.33M +$5.47M +175,000 New
BCIM
137
British Columbia Investment Management
British Columbia, Canada
$5.33M +$622K +19,907 +13%
CAM
138
Centre Asset Management
New York
$5.07M -$46.5K -1,490 -0.9%
TG
139
TCW Group
California
$5.04M -$112K -3,600 -2%
RFC
140
Russell Frank Company
Washington
$5M -$3.58M -114,585 -41%
NIM
141
NXG Investment Management
Texas
$4.9M +$3.45M +110,335 +218%
TD Asset Management
142
TD Asset Management
Ontario, Canada
$4.46M -$30.9K -988 -0.7%
Stifel Financial
143
Stifel Financial
Missouri
$4.41M +$313K +10,025 +7%
AIG
144
American International Group
New York
$4.37M +$325K +10,422 +8%
Bank of Montreal
145
Bank of Montreal
Ontario, Canada
$4.34M +$588K +18,826 +15%
Aviva
146
Aviva
United Kingdom
$4.22M +$21.5K +690 +0.5%
SOMRS
147
State of Michigan Retirement System
Michigan
$4.22M +$9.37K +300 +0.2%
Capital World Investors
148
Capital World Investors
California
$4.21M
ERSOT
149
Employees Retirement System of Texas
Texas
$4.18M -$62.5K -2,000 -1%
NIP
150
Nicholas Investment Partners
California
$4.17M +$70.8K +2,266 +2%