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Packaging Corp of America

Name Holding Trade Value Shares
Change
Change in
Stake
MGP
426
M&G plc
United Kingdom
$956K
HT
427
Headlands Technologies
Illinois
$929K +$955K +4,128 New
QI
428
Qtron Investments
Massachusetts
$925K -$101K -437 -10%
FRM
429
Fox Run Management
Connecticut
$907K -$310K -1,342 -25%
GWSG
430
GPS Wealth Strategies Group
Colorado
$906K -$977K -4,225 -51%
CIA
431
Capital Investment Advisors
Georgia
$894K -$54.1K -234 -6%
IGAM
432
iA Global Asset Management
Quebec, Canada
$891K -$233K -1,008 -20%
FB
433
Fulton Bank
Pennsylvania
$888K -$446K -1,930 -33%
LIP
434
Lighthouse Investment Partners
Florida
$886K -$2.61M -11,301 -74%
Bessemer Group
435
Bessemer Group
New Jersey
$872K +$24.3K +105 +3%
BWS
436
Buck Wealth Strategies
Colorado
$860K +$330K +1,427 +60%
WSFS
437
Wilmington Savings Fund Society
Delaware
$854K -$19.9K -86 -2%
MYAM
438
Meiji Yasuda Asset Management
Japan
$849K +$16.2K +70 +2%
OAC
439
OMERS Administration Corp
Ontario, Canada
$845K -$38.6K -167 -4%
SAM
440
Shell Asset Management
Netherlands
$841K +$371K +1,604 +75%
CT
441
Caldwell Trust
Florida
$841K -$152K -655 -15%
LOIP
442
Live Oak Investment Partners
Texas
$831K
VWM
443
Venturi Wealth Management
Texas
$829K +$162K +702 +24%
OC
444
Oppenheimer & Co
New York
$822K +$391K +1,691 +86%
EWA
445
EverSource Wealth Advisors
Alabama
$819K +$15.3K +66 +2%
RS
446
R Squared
Hong Kong
$806K +$828K +3,578 New
ST
447
Somerset Trust
Pennsylvania
$804K -$85.8K -371 -9%
VA
448
Vident Advisory
Georgia
$801K +$38.6K +167 +5%
CIA
449
Concurrent Investment Advisors
Florida
$800K -$1.27M -5,507 -61%
SAM
450
Strategy Asset Managers
California
$793K -$2.08K -9 -0.3%