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Name Holding Trade Value Shares
Change
Change in
Stake
Simplex Trading
451
Simplex Trading
Illinois
– -$2.87M -55,752 Closed
DT
452
Diversified Trust
Tennessee
– -$1.84M -34,031 Closed
FC
453
FORA Capital
Florida
– -$1.81M -33,143 Closed
QC
454
Quadrature Capital
United Kingdom
– -$1.68M -31,000 Closed
Jennison Associates
455
Jennison Associates
New York
– -$1.4M -25,923 Closed
Walleye Trading
456
Walleye Trading
New York
– -$1.22M -23,666 Closed
SGI
457
Summit Global Investments
Utah
– -$1.18M -21,874 Closed
AIP
458
Ameritas Investment Partners
Nebraska
– -$1.11M -20,462 Closed
B
459
Bailard
California
– -$1.04M -19,300 Closed
MLICM
460
Metropolitan Life Insurance Company (MetLife)
New York
– -$883K -16,337 Closed
APG Asset Management
461
APG Asset Management
Netherlands
– -$627K -12,900 Closed
CCIA
462
Campbell & Co Investment Adviser
Maryland
– -$473K -8,749 Closed
HAM
463
Hedges Asset Management
Nevada
– -$400K -7,400 Closed
SC
464
Shay Capital
New York
– -$329K -6,080 Closed
BL
465
Balentine LLC
Georgia
– -$319K -5,905 Closed
PP
466
Paloma Partners
Connecticut
– -$302K -5,586 Closed
IFG
467
Independent Financial Group
California
– -$293K -5,424 Closed
FRM
468
Fox Run Management
Connecticut
– -$292K -5,406 Closed
EOCM
469
Energy Opportunities Capital Management
Texas
– -$262K -4,840 Closed
KBC Group
470
KBC Group
Belgium
– -$260K -4,816 Closed
ER
471
Enlightenment Research
Florida
– -$249K -4,600 Closed
BCI
472
Brinker Capital Investments
Pennsylvania
– -$248K -4,579 Closed
BP
473
Ballentine Partners
Massachusetts
– -$245K -4,532 Closed
CAN
474
Cetera Advisor Networks
California
– -$224K -4,149 Closed
SMC
475
Smith, Moore & Co
Missouri
– -$220K -4,072 Closed