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Pacific Biosciences

Name Holding Trade Value Shares
Change
Change in
Stake
Man Group
176
Man Group
United Kingdom
$444K -$4.34M -149,350 -92%
Nisa Investment Advisors
177
Nisa Investment Advisors
Missouri
$437K
CLOS
178
Compagnie Lombard Odier SCmA
Switzerland
$437K +$305K +10,500 +525%
HKAM
179
Horizon Kinetics Asset Management
New York
$420K
OSAM
180
O'Shaughnessy Asset Management
Connecticut
$390K -$203K -6,964 -38%
AG
181
Algert Global
California
$389K +$323K +11,120 New
FA
182
Faithward Advisors
Pennsylvania
$385K +$320K +11,000 New
Canada Life
183
Canada Life
Manitoba, Canada
$384K
TWM
184
Titus Wealth Management
California
$382K +$28.2K +970 +10%
TRCT
185
Tower Research Capital (TRC)
New York
$378K -$1.55M -53,359 -83%
X
186
Xponance
Pennsylvania
$372K +$310K +10,648 New
AC
187
Avestar Capital
New York
$368K
HSBC Holdings
188
HSBC Holdings
United Kingdom
$364K +$302K +10,395 New
SAM
189
Shell Asset Management
Netherlands
$355K +$296K +10,165 New
IWM
190
IHT Wealth Management
Illinois
$351K -$16.9K -580 -5%
SM
191
SG3 Management
Puerto Rico
$350K
CCIA
192
Campbell & Co Investment Adviser
Maryland
$350K +$291K +10,000 New
AWM
193
Avior Wealth Management
Nebraska
$339K +$78.6K +2,702 +39%
PNC Financial Services Group
194
PNC Financial Services Group
Pennsylvania
$331K -$44.6K -1,533 -14%
CC
195
Centiva Capital
New York
$305K +$254K +8,736 New
BP
196
Ballentine Partners
Massachusetts
$284K -$13.9K -479 -6%
Osaic Holdings
197
Osaic Holdings
Arizona
$284K +$9.57K +329 +4%
Bank of Montreal
198
Bank of Montreal
Ontario, Canada
$283K -$161K -5,532 -41%
EIM
199
Essex Investment Management
Massachusetts
$274K +$228K +7,833 New
CCA
200
Clearwater Capital Advisors
Illinois
$272K +$11.6K +398 +5%