We are live on ! Find out more
PANW icon

Palo Alto Networks

Name Holding Trade Value Shares
Change
Change in
Stake
Mirae Asset Global Investments
51
Mirae Asset Global Investments
South Korea
$171M +$14.9M +171,730 +9%
CG
52
Carmignac Gestion
France
$167M -$16.6M -192,036 -9%
EVM
53
Eaton Vance Management
Massachusetts
$166M -$560K -6,468 -0.3%
FAM
54
Fred Alger Management
New York
$165M +$72.1M +833,146 +71%
Stifel Financial
55
Stifel Financial
Missouri
$161M +$8.33M +96,170 +5%
Charles Schwab
56
Charles Schwab
California
$157M +$3.78M +43,602 +2%
Schroder Investment Management Group
57
Schroder Investment Management Group
United Kingdom
$156M +$8.86M +102,356 +6%
CS
58
Credit Suisse
Switzerland
$155M +$16M +184,200 +11%
Sumitomo Mitsui Trust Group
59
Sumitomo Mitsui Trust Group
Japan
$154M -$616K -7,116 -0.4%
Bessemer Group
60
Bessemer Group
New Jersey
$150M -$46.1M -532,026 -23%
AII
61
AGF Investments Inc
Ontario, Canada
$145M +$4.2M +48,490 +3%
Citigroup
62
Citigroup
New York
$142M -$58.4M -674,516 -28%
Deutsche Bank
63
Deutsche Bank
Germany
$141M +$12M +138,670 +9%
IG
64
ING Group
Netherlands
$140M +$148M +1,712,316 New
Bank of Montreal
65
Bank of Montreal
Ontario, Canada
$137M +$22.1M +255,462 +20%
PCH
66
Polar Capital Holdings
United Kingdom
$136M +$30.6M +353,748 +27%
FCM
67
Frontier Capital Management
Massachusetts
$130M -$27.1M -312,902 -16%
Jacobs Levy Equity Management
68
Jacobs Levy Equity Management
New Jersey
$126M +$133M +1,538,086 New
SAM
69
Storebrand Asset Management
Norway
$123M +$4.27M +49,258 +3%
Holocene Advisors
70
Holocene Advisors
New York
$118M +$125M +1,443,164 New
California Public Employees Retirement System
71
California Public Employees Retirement System
California
$117M +$10.8M +125,152 +10%
Korea Investment Corp
72
Korea Investment Corp
South Korea
$115M +$30.8M +355,680 +34%
EAM
73
Eventide Asset Management
Massachusetts
$115M +$5.4M +62,326 +5%
Two Sigma Investments
74
Two Sigma Investments
New York
$114M +$55.4M +639,446 +85%
TCM
75
TimesSquare Capital Management
New York
$113M -$9.55M -110,280 -7%