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NXP Semiconductors

Name Holding Trade Value Shares
Change
Change in
Stake
VKH
251
Virtu KCG Holdings
New York
$885K -$307K -5,881 -28%
PIM
252
Platinum Investment Management
Australia
$882K -$261K -5,000 -25%
Principal Financial Group
253
Principal Financial Group
Iowa
$865K +$767K +14,701 New
PI
254
Placemark Investments
Illinois
$851K -$162K -3,106 -18%
BB
255
Bell Bank
North Dakota
$842K -$329K -6,308 -31%
PA
256
Profund Advisors
Maryland
$820K +$27.3K +523 +4%
BIM
257
BlackRock Investment Management
Delaware
$810K +$668K +12,811 +1,323%
GCA
258
Gideon Capital Advisors
New York
$809K +$717K +13,749 New
MIU
259
Man Investments (UK)
United Kingdom
$757K +$671K +12,865 New
ST
260
Spot Trading
Illinois
$752K +$667K +12,785 New
COPPSERS
261
Commonwealth of Pennsylvania Public School Employees Retirement System
Pennsylvania
$727K +$645K +12,370 New
PP
262
PDT Partners
New York
$705K -$374K -7,177 -37%
Capital Fund Management (CFM)
263
Capital Fund Management (CFM)
France
$692K -$311K -5,956 -34%
CC
264
Cipher Capital
New York
$688K +$187K +3,592 +44%
RCM
265
Reynolds Capital Management
Nevada
$641K +$193K +3,700 +51%
CC
266
Curian Capital
Colorado
$640K +$568K +10,881 New
AAM
267
Advisors Asset Management
Colorado
$632K -$109K -2,090 -16%
Twin Tree Management
268
Twin Tree Management
Texas
$630K +$559K +10,718 New
PA
269
Pinnacle Associates
New York
$629K -$1.3K -25 -0.2%
IPC
270
Independent Portfolio Consultants
Florida
$586K -$27.6K -530 -5%
SGH
271
Schonfeld Group Holdings
New York
$584K +$183K +3,503 +54%
PCMI
272
Paradigm Capital Management Inc
New York
$581K +$515K +9,875 New
TM
273
Tiger Management
New York
$576K +$511K +9,800 New
PCM
274
Palisade Capital Management
New Jersey
$552K +$490K +9,390 New
NCCM
275
Nine Chapters Capital Management
New Jersey
$512K +$454K +8,700 New