We are live on ! Find out more
NVS icon

Novartis

Name Holding Trade Value Shares
Change
Change in
Stake
Chevy Chase Trust
26
Chevy Chase Trust
Maryland
$118M +$26.9M +267,490 +32%
Natixis Advisors
27
Natixis Advisors
Massachusetts
$97.1M -$1.42M -14,128 -2%
Capital Research Global Investors
28
Capital Research Global Investors
California
$96.3M -$602 -6 -0%
EARNEST Partners
29
EARNEST Partners
Georgia
$86.2M -$2.64M -26,264 -3%
Grantham, Mayo, Van Otterloo & Co (GMO)
30
Grantham, Mayo, Van Otterloo & Co (GMO)
Massachusetts
$83M -$16.7M -166,195 -18%
Truist Financial
31
Truist Financial
North Carolina
$79.9M -$568K -5,657 -0.7%
Bank of Montreal
32
Bank of Montreal
Ontario, Canada
$70.7M +$51.2M +509,567 +344%
Royal Bank of Canada
33
Royal Bank of Canada
Ontario, Canada
$68M +$4.09M +40,697 +7%
Arrowstreet Capital
34
Arrowstreet Capital
Massachusetts
$67.1M +$18.6M +185,510 +42%
JWBC
35
John W. Bristol & Co
New York
$66.5M -$1.37M -13,635 -2%
Canada Pension Plan Investment Board
36
Canada Pension Plan Investment Board
Ontario, Canada
$64.6M +$60.9M +606,890 New
Corient Private Wealth
37
Corient Private Wealth
Florida
$61.8M -$507K -5,055 -0.9%
SEI Investments
38
SEI Investments
Pennsylvania
$60.7M -$295K -2,937 -0.5%
RJA
39
Raymond James & Associates
Florida
$57.1M +$679K +6,767 +1%
HPG
40
Harvest Portfolios Group
Ontario, Canada
$55.1M +$3.31M +32,968 +7%
CIBC Private Wealth Group
41
CIBC Private Wealth Group
Georgia
$52.8M -$683K -6,807 -1%
American Century Companies
42
American Century Companies
Missouri
$52.4M +$83K +827 +0.2%
DADC
43
D.A. Davidson & Co
Montana
$52.4M -$122K -1,220 -0.2%
CCMG
44
Clark Capital Management Group
Pennsylvania
$52.3M +$49.3M +491,609 New
First Trust Advisors
45
First Trust Advisors
Illinois
$49.8M -$16.2M -161,731 -26%
Ameriprise
46
Ameriprise
Minnesota
$47.7M +$1.82M +18,132 +4%
GAM
47
Groupama Asset Management
France
$45M +$2.57M +25,641 +6%
LPL Financial
48
LPL Financial
California
$42.8M +$4.12M +41,046 +11%
TAM
49
Todd Asset Management
Kentucky
$42.2M +$10.1M +100,465 +34%
TH
50
TCTC Holdings
Texas
$42.1M -$279K -2,781 -0.7%