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OZON

Ozon Holdings PLC American Depositary Shares, each ADS representing one ordinary share

Delisted

OZON was delisted on the 25th of February, 2022.

Name Holding Trade Value Shares
Change
Change in
Stake
GKIM
26
GW&K Investment Management
Massachusetts
$16M +$15.7M +284,992 New
Wells Fargo
27
Wells Fargo
California
$12.1M -$5.02K -91 -0%
Janus Henderson Group
28
Janus Henderson Group
$11.8M +$863K +15,640 +8%
BMSSC
29
B. Metzler seel. Sohn & Co
Germany
$11.2M +$778K +14,100 +8%
LOAMS
30
Lombard Odier Asset Management (Switzerland)
Switzerland
$10.9M
Swedbank
31
Swedbank
Sweden
$9.02M +$8.87M +160,900 New
1832 Asset Management
32
1832 Asset Management
Ontario, Canada
$8.5M +$8.82M +160,000 New
HSBC Holdings
33
HSBC Holdings
United Kingdom
$8.47M +$7M +126,974 +526%
Franklin Resources
34
Franklin Resources
California
$8.43M +$116K +2,106 +1%
BC
35
BIT Capital
Germany
$7.7M +$7.57M +137,280 New
Millennium Management
36
Millennium Management
New York
$7.33M -$9.97M -180,788 -58%
LCP
37
LGT Capital Partners
Switzerland
$7.29M -$2.02M -36,667 -22%
Bank of America
38
Bank of America
North Carolina
$7.28M +$5.51M +99,822 +332%
PG
39
Pendal Group
Australia
$6.38M +$6.28M +113,769 New
CG
40
Carmignac Gestion
France
$6.05M -$142K -2,570 -2%
Artisan Partners
41
Artisan Partners
Wisconsin
$4.92M -$23.1M -418,043 -83%
Parallax Volatility Advisers
42
Parallax Volatility Advisers
California
$4.91M +$4.83M +87,495 New
CS
43
Credit Suisse
Switzerland
$4.84M +$1.02M +18,479 +27%
PI
44
PEAK6 Investments
Illinois
$4.38M +$4.31M +78,115 New
Northern Trust
45
Northern Trust
Illinois
$4.08M +$343K +6,222 +9%
California Public Employees Retirement System
46
California Public Employees Retirement System
California
$3.9M +$3.83M +69,500 New
Mirae Asset Global Investments
47
Mirae Asset Global Investments
South Korea
$3.57M -$3.64M -66,000 -51%
RC
48
Renaissance Capital
Connecticut
$2.97M +$2.92M +52,947 New
Fidelity International
49
Fidelity International
Bermuda
$2.9M +$2.85M +51,683 New
SRC
50
Samson Rock Capital
United Kingdom
$2.88M +$2.84M +51,429 New