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PFPT

Proofpoint, Inc.
PFPT

Delisted

PFPT was delisted on the 30th of August, 2021.

Name Holding Trade Value Shares
Change
Change in
Stake
TD Asset Management
51
TD Asset Management
Ontario, Canada
$28.3M -$154K -1,400 -0.6%
AAMU
52
Amundi Asset Management US
Massachusetts
$27.7M -$3.26M -29,737 -12%
GKIM
53
GW&K Investment Management
Massachusetts
$27.6M -$694K -6,325 -3%
EA
54
Emerald Advisers
Pennsylvania
$27.5M -$13.1M -119,362 -35%
HAM
55
HHR Asset Management
New Jersey
$26.8M -$5.37M -48,965 -18%
AllianceBernstein
56
AllianceBernstein
Tennessee
$25.1M +$19.7M +179,254 +650%
Thrivent Financial for Lutherans
57
Thrivent Financial for Lutherans
Minnesota
$23.6M -$3.67M -33,435 -15%
SI
58
Scout Investments
Missouri
$23.4M +$21.1M +192,683 New
EMFAT
59
Emerald Mutual Fund Advisers Trust
Pennsylvania
$22.7M -$9.28M -84,605 -31%
UBS AM
60
UBS AM
Illinois
$22.4M +$1.51M +13,742 +8%
GCM
61
Glynn Capital Management
California
$21.9M -$1.58M -14,408 -7%
BNP Paribas Asset Management
62
BNP Paribas Asset Management
France
$21.3M +$241K +2,201 +1%
SI
63
SQN Investors
California
$20.9M +$18.9M +172,439 New
Massachusetts Financial Services
64
Massachusetts Financial Services
Massachusetts
$20.7M +$2.83M +25,792 +18%
State of Wisconsin Investment Board
65
State of Wisconsin Investment Board
Wisconsin
$20.5M -$134K -1,220 -0.7%
SMDAM
66
Sumitomo Mitsui DS Asset Management
Japan
$20.1M
EAM
67
Eventide Asset Management
Massachusetts
$19.2M
Stifel Financial
68
Stifel Financial
Missouri
$18.9M +$1.05M +9,580 +7%
Artisan Partners
69
Artisan Partners
Wisconsin
$18.9M -$32.5M -295,854 -66%
MBI
70
Montrusco Bolton Investments
Quebec, Canada
$16.3M +$4.55M +41,490 +47%
SCM
71
Spyglass Capital Management
California
$15.9M +$4.89M +44,559 +52%
New York State Common Retirement Fund
72
New York State Common Retirement Fund
New York
$15.6M -$6.72M -61,268 -32%
EVM
73
Eaton Vance Management
Massachusetts
$14.5M +$2.67M +24,302 +25%
MSE
74
MUFG Securities EMEA
United Kingdom
$14.2M +$12.8M +116,700 New
CC
75
Crosslink Capital
California
$14.1M +$12.7M +115,967 New