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Packaging Corp of America

Name Holding Trade Value Shares
Change
Change in
Stake
MGP
426
M&G plc
United Kingdom
$842K
NMERB
427
New Mexico Educational Retirement Board
New Mexico
$832K -$21.3K -100 -2%
CCM
428
Coldstream Capital Management
Washington
$830K -$46.9K -220 -5%
HF
429
HRT Financial
New York
$821K -$7.91M -37,076 -90%
MSRPS
430
Maryland State Retirement & Pension System
Maryland
$820K -$163K -764 -16%
QI
431
Qtron Investments
Massachusetts
$814K
VRS
432
Virginia Retirement Systems
Virginia
$812K +$875K +4,100 New
CIG
433
CCM Investment Group
Minnesota
$809K +$883K +4,136 New
WSFS
434
Wilmington Savings Fund Society
Delaware
$806K +$59.5K +279 +7%
P
435
Pitcairn
Pennsylvania
$794K +$245K +1,150 +40%
RS
436
R Squared
Hong Kong
$794K +$92.2K +432 +12%
CWM
437
Congress Wealth Management
Massachusetts
$781K +$102K +479 +14%
CIA
438
Capital Investment Advisors
Georgia
$781K -$5.33K -25 -0.6%
1C
439
111 Capital
France
$763K -$368K -1,726 -31%
EWA
440
EverSource Wealth Advisors
Alabama
$759K +$41.6K +195 +5%
CI Investments Inc
441
CI Investments Inc
Ontario, Canada
$753K +$97.7K +458 +14%
CGH
442
Crossmark Global Holdings
Texas
$750K -$200K -935 -20%
LWCA
443
Locust Wood Capital Advisers
New York
$743K -$267K -1,250 -25%
CT
444
Caldwell Trust
Florida
$732K -$8.11K -38 -1%
LOIP
445
Live Oak Investment Partners
Texas
$730K +$787K +3,686 New
FB
446
Fulton Bank
Pennsylvania
$725K -$60.8K -285 -7%
OC
447
Oppenheimer & Co
New York
$717K -$5.97K -28 -0.8%
SAM
448
Shell Asset Management
Netherlands
$712K -$30.5K -143 -4%
MM
449
MQS Management
New York
$711K +$556K +2,604 +264%
ECM
450
Everence Capital Management
Indiana
$711K +$105K +490 +16%