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Packaging Corp of America

Name Holding Trade Value Shares
Change
Change in
Stake
SCM
376
Stevens Capital Management
Pennsylvania
$423K +$450K +3,127 New
B
377
BP
United Kingdom
$421K -$184K -1,281 -29%
SFSIG
378
San Francisco Sentry Investment Group
California
$421K +$17.3K +120 +4%
MLL
379
Moody Lynn & Lieberson
Massachusetts
$419K
AS
380
Altshuler Shaham
Israel
$418K +$59.3K +412 +15%
CI Investments Inc
381
CI Investments Inc
Ontario, Canada
$418K +$173K +1,203 +64%
Capstone Investment Advisors
382
Capstone Investment Advisors
New York
$418K +$444K +3,089 New
SC
383
Scotia Capital
Ontario, Canada
$413K +$79.8K +555 +22%
PMAS
384
PNC Managed Account Solutions
Texas
$408K +$433K +3,012 New
CI
385
Cigna Investments
Connecticut
$401K -$77.3K -537 -15%
VVP
386
Venture Visionary Partners
Ohio
$400K +$575 +4 +0.1%
WAM
387
World Asset Management
Michigan
$396K -$21.1K -147 -5%
TCM
388
Twin Capital Management
Pennsylvania
$395K -$31.6K -220 -7%
RPC
389
Rossmore Private Capital
Connecticut
$393K
BCI
390
Brinker Capital Investments
Pennsylvania
$392K +$4.32K +30 +1%
NA
391
NewEdge Advisors
Louisiana
$387K +$13.8K +96 +3%
BSB
392
Bangor Savings Bank
Maine
$377K +$44.7K +311 +13%
B
393
Barings
North Carolina
$374K
PI
394
PEAK6 Investments
Illinois
$373K -$308K -2,141 -44%
Creative Planning
395
Creative Planning
Kansas
$371K +$30.4K +211 +8%
NFG
396
Next Financial Group
Texas
$371K +$45.6K +317 +13%
IC
397
Intersect Capital
California
$368K -$288 -2 -0.1%
MYAM
398
Meiji Yasuda Asset Management
Japan
$367K
AA
399
Argent Advisors
Louisiana
$366K
IRF
400
IBM Retirement Fund
New York
$362K -$80.7K -561 -17%