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Procter & Gamble

Name Holding Trade Value Shares
Change
Change in
Stake
First Manhattan
251
First Manhattan
New York
$36.9M -$3.92M -46,967 -9%
ERSOT
252
Employees Retirement System of Texas
Texas
$36.8M -$1.08M -13,000 -3%
CIBC Private Wealth Group
253
CIBC Private Wealth Group
Georgia
$36.7M -$4.52M -54,188 -10%
MIS
254
Morningstar Investment Services
Illinois
$36.7M -$7.75M -93,009 -17%
NMIMC
255
Northwestern Mutual Investment Management Company
Wisconsin
$36.4M -$9.73M -116,673 -20%
SAM
256
Shell Asset Management
Netherlands
$36.3M +$385K +4,618 +1%
XK
257
Xact Kapitalforvaltning
Sweden
$36.3M +$1.83M +21,897 +5%
Northwestern Mutual Wealth Management
258
Northwestern Mutual Wealth Management
Wisconsin
$36.2M +$1.29M +15,522 +4%
BCM
259
Becker Capital Management
Oregon
$36.1M +$2.14M +25,612 +6%
Public Employees Retirement Association of Colorado
260
Public Employees Retirement Association of Colorado
Colorado
$35.7M -$3.03M -36,356 -7%
SC
261
Scotia Capital
Ontario, Canada
$35.6M -$3.52M -42,248 -9%
OTPPB
262
Ontario Teachers' Pension Plan Board
Ontario, Canada
$35.4M +$11M +132,135 +42%
V
263
Veritable
Delaware
$35.2M -$182K -2,185 -0.5%
SCM
264
Stevens Capital Management
Pennsylvania
$35M +$34.5M +414,282 +1,497%
FCIM
265
Fairview Capital Investment Management
California
$34.9M +$3.17M +37,975 +9%
Cambridge Investment Research Advisors
266
Cambridge Investment Research Advisors
Iowa
$34.5M -$380K -4,563 -1%
NAM
267
Nissay Asset Management
Japan
$34.4M +$5.2M +62,337 +17%
ST
268
Sabal Trust
Florida
$33.9M +$3.58M +42,917 +11%
AG
269
Advisor Group
Arizona
$33.7M +$553K +6,636 +2%
PTC
270
Philadelphia Trust Company
Pennsylvania
$33.7M +$617K +7,406 +2%
FMW
271
Farr Miller & Washington
District of Columbia
$33.1M -$294K -3,523 -0.8%
PNC
272
Park National Corp
Ohio
$33.1M -$286K -3,429 -0.8%
Macquarie Group
273
Macquarie Group
Australia
$33M +$1.63M +19,585 +5%
Mitsubishi UFJ Asset Management
274
Mitsubishi UFJ Asset Management
Japan
$32.3M -$11.8M -141,370 -26%
FIM
275
Foresters Investment Management
New York
$32.1M