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ON Semiconductor

Name Holding Trade Value Shares
Change
Change in
Stake
LG
276
Leuthold Group
Minnesota
$620K -$41K -1,920 -5%
Mirae Asset Global Investments
277
Mirae Asset Global Investments
South Korea
$619K +$59.6K +2,787 +9%
B
278
Barings
North Carolina
$617K -$483K -22,600 -40%
FAAS
279
First Allied Advisory Services
California
$617K +$718K +33,581 New
MLICM
280
Metropolitan Life Insurance Company (MetLife)
New York
$603K -$13.9K -651 -2%
Nuveen
281
Nuveen
North Carolina
$597K -$4.17M -194,881 -86%
UH
282
Unigestion Holding
Switzerland
$594K +$689K +32,216 New
MAM
283
Meeder Asset Management
Ohio
$565K -$1.32M -61,897 -67%
PA
284
Profund Advisors
Maryland
$553K -$1.29M -60,331 -67%
EDRH
285
Edmond de Rothschild Holding
Switzerland
$535K -$96.2K -4,500 -13%
WBC
286
Westpac Banking Corp
Australia
$515K – – –
HS
287
HighVista Strategies
Massachusetts
$501K -$85.5K -4,000 -13%
CG
288
CFO4Life Group
Texas
$495K +$57.8K +2,703 +11%
MYLI
289
Meiji Yasuda Life Insurance
Japan
$478K +$555K +25,960 New
VF
290
Virtu Financial
New York
$477K -$532K -24,912 -49%
RJFSA
291
Raymond James Financial Services Advisors
Florida
$477K -$86.1K -4,028 -13%
N
292
Natixis
France
$477K +$553K +25,868 New
AA
293
ALPS Advisors
Colorado
$467K +$164K +7,686 +44%
MYAM
294
Meiji Yasuda Asset Management
Japan
$467K +$542K +25,340 New
TA
295
Teton Advisors
New York
$461K – – –
HAG
296
HighPoint Advisor Group
Illinois
$453K +$44.6K +2,085 +8%
SM
297
Sciencast Management
New Jersey
$452K -$109K -5,080 -15%
CCMG
298
Clark Capital Management Group
Pennsylvania
$435K -$229K -10,692 -31%
GCP
299
GSA Capital Partners
United Kingdom
$430K +$498K +23,315 New
Aberdeen Group
300
Aberdeen Group
United Kingdom
$421K -$18.2K -850 -4%