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Occidental Petroleum

Name Holding Trade Value Shares
Change
Change in
Stake
HT
501
HAP Trading
New York
$806K +$824K +16,320 New
RAM
502
Readystate Asset Management
Illinois
$805K +$823K +16,286 New
PWG
503
Portside Wealth Group
Utah
$805K -$7.78K -154 -0.9%
SMH
504
Sanders Morris Harris
Texas
$802K +$203K +4,020 +33%
VT
505
Vise Technologies
New York
$800K +$462K +9,140 +130%
KPWS
506
Kestra Private Wealth Services
Texas
$799K +$314K +6,212 +62%
SAM
507
SignalPoint Asset Management
Missouri
$798K +$290K +5,737 +55%
KCM
508
Kennondale Capital Management
Virginia
$791K +$809K +16,019 New
CT
509
Chicago Trust
Illinois
$784K +$142K +2,812 +22%
EIP
510
Easterly Investment Partners
Massachusetts
$781K
CCM
511
Collar Capital Management
Wisconsin
$776K +$794K +15,712 New
FFG
512
Fortem Financial Group
California
$775K -$36.6K -725 -4%
GIC
513
Generali Investments CEE
Czech Republic
$771K +$788K +15,600 New
AC
514
Annandale Capital
Texas
$770K -$44.3K -877 -5%
GRP
515
Global Retirement Partners
California
$762K +$42.5K +841 +6%
USAA
516
United Services Automobile Association
Texas
$758K +$30K +594 +4%
HIP
517
HUB Investment Partners
Texas
$755K -$137K -2,709 -15%
NAMA
518
Nikko Asset Management Americas
New York
$748K -$141K -2,788 -16%
AT
519
AMF Tjänstepension
Sweden
$747K +$763K +15,104 New
MG
520
Mather Group
Illinois
$747K +$170K +3,369 +29%
Optiver Holding
521
Optiver Holding
Netherlands
$743K -$29.8M -589,933 -98%
CAM
522
Carret Asset Management
New York
$743K +$326K +6,447 +75%
SL
523
Siren LLC
Connecticut
$741K -$1.01M -20,000 -57%
PCM
524
Ping Capital Management
New York
$741K +$50.5K +1,000 +7%
NM
525
NWI Management
New York
$741K