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nVent Electric

Name Holding Trade Value Shares
Change
Change in
Stake
Wellington Management Group
626
Wellington Management Group
Massachusetts
-$7.74M -113,570 Closed
GF
627
Greenhouse Funds
Maryland
-$7.73M -113,377 Closed
GLA
628
Great Lakes Advisors
Illinois
-$7.56M -110,944 Closed
TIAM
629
TT International Asset Management
United Kingdom
-$7.39M -108,395 Closed
JLBC
630
J.L. Bainbridge & Co
Florida
-$7.26M -106,445 Closed
RGC
631
Regents Gate Capital
United Kingdom
-$6.49M -95,248 Closed
PC
632
Paradoxiom Capital
Connecticut
-$6.39M -93,737 Closed
OLA
633
Oliver Luxxe Assets
New Jersey
-$5.22M -74,252 Closed
CM
634
Crestline Management
Texas
-$4.52M -66,259 Closed
MPM
635
MBB Public Markets
Illinois
-$3.54M -52,000 Closed
LGF
636
LGT Group Foundation
Liechtenstein
-$3.33M -48,908 Closed
RC
637
Roubaix Capital
Colorado
-$3.09M -45,342 Closed
LIP
638
Lighthouse Investment Partners
Florida
-$2.69M -39,425 Closed
FHB
639
First Hawaiian Bank
Hawaii
-$2.44M -35,770 Closed
EP
640
Edgestream Partners
New Jersey
-$2.43M -35,717 Closed
GCM
641
Graham Capital Management
Connecticut
-$2.41M -35,427 Closed
IG
642
ING Group
Netherlands
-$1.42M -20,800 Closed
Boston Partners
643
Boston Partners
Massachusetts
-$1.3M -19,079 Closed
Mirae Asset Global ETFs Holdings
644
Mirae Asset Global ETFs Holdings
Hong Kong
-$1.3M -19,006 Closed
PGFC
645
Peapack-Gladstone Financial Corp
New Jersey
-$1.11M -16,216 Closed
AI
646
Atom Investors
Texas
-$1.09M -15,979 Closed
Credit Agricole
647
Credit Agricole
France
-$1.05M -15,363 Closed
GT
648
Glenmede Trust
Pennsylvania
-$935K -13,720 Closed
CIS
649
Custom Index Systems
New York
-$905K -13,281 Closed
IMC Chicago
650
IMC Chicago
Illinois
-$694K -10,975 Closed