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nVent Electric

Name Holding Trade Value Shares
Change
Change in
Stake
TPA
226
Trivium Point Advisory
Connecticut
$7.46M +$6.18M +39,643 +916%
QCM
227
Qsemble Capital Management
New York
$7.34M +$5.15M +33,022 +322%
American Century Companies
228
American Century Companies
Missouri
$7.33M +$1.48M +9,520 +28%
SNB
229
Security National Bank
Nebraska
$7.31M -$785K -5,033 -10%
BPIM
230
Brant Point Investment Management
New York
$7.31M -$557K -3,574 -8%
Robeco Institutional Asset Management
231
Robeco Institutional Asset Management
Netherlands
$7.29M -$329K -2,110 -5%
HCM
232
Hilton Capital Management
New York
$7.21M -$266K -1,707 -4%
VRS
233
Virginia Retirement Systems
Virginia
$7.11M +$858K +5,500 +15%
PNC Financial Services Group
234
PNC Financial Services Group
Pennsylvania
$7.05M +$242K +1,549 +4%
Vanguard Investments Australia
235
Vanguard Investments Australia
Australia
$6.96M +$76.6K +491 +1%
Pacer Advisors
236
Pacer Advisors
Pennsylvania
$6.95M -$1.52M -9,761 -19%
CF
237
Centaurus Financial
California
$6.92M +$200K +1,281 +3%
JG
238
Jain Global
New York
$6.92M -$1.33M -8,537 -17%
NA
239
NewEdge Advisors
Louisiana
$6.87M -$754K -4,835 -11%
Mackenzie Financial
240
Mackenzie Financial
Ontario, Canada
$6.87M +$6.31M +40,502 New
BAAM
241
Baker Avenue Asset Management
California
$6.74M +$560K +3,594 +10%
COPPSERS
242
Commonwealth of Pennsylvania Public School Employees Retirement System
Pennsylvania
$6.57M -$267K -1,713 -4%
SOMRS
243
State of Michigan Retirement System
Michigan
$6.41M -$156K -1,000 -3%
Bank of Nova Scotia
244
Bank of Nova Scotia
Ontario, Canada
$6.3M -$14M -89,576 -71%
EA
245
Ellsworth Advisors
Ohio
$6.26M +$6.12M +39,242 New
Vanguard Personalized Indexing Management
246
Vanguard Personalized Indexing Management
California
$6.22M -$19.3K -124 -0.3%
Corient Private Wealth
247
Corient Private Wealth
Florida
$6.17M +$2.78M +17,806 +96%
IGM
248
Incline Global Management
New York
$5.99M +$5.51M +35,326 New
KI
249
Keystone Investors
Singapore
$5.86M +$5.39M +34,550 New
OF
250
Outfitter Financial
Maine
$5.79M -$113K -725 -2%