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Packaging Corp of America

Name Holding Trade Value Shares
Change
Change in
Stake
LCOV
526
London Company of Virginia
Virginia
$264K
MAP
527
Moody Aldrich Partners
Massachusetts
$263K +$254K +1,616 New
DWA
528
Dorsey Wright & Associates
California
$262K +$253K +1,609 New
ACM
529
Aquatic Capital Management
Illinois
$261K +$252K +1,600 New
VI
530
Versor Investments
New York
$261K +$252K +1,600 New
ZF
531
Zega Financial
Florida
$261K +$252K +1,600 New
SW
532
SVB Wealth
Massachusetts
$260K +$251K +1,597 New
VI
533
Vestcor Inc
New Brunswick, Canada
$259K -$3.62K -23 -1%
PTC
534
Private Trust Company
Ohio
$256K
KFA
535
Krane Funds Advisors
New York
$253K -$288K -1,827 -54%
GT
536
Glenview Trust
Kentucky
$252K +$243K +1,545 New
CCIA
537
Cherry Creek Investment Advisors
Colorado
$252K +$157 +1 +0.1%
AFG
538
Atomi Financial Group
New York
$251K +$243K +1,543 New
MWM
539
Mission Wealth Management
California
$249K +$629 +4 +0.3%
WI
540
Wahed Invest
New York
$248K +$20.6K +131 +9%
MAM
541
Meeder Asset Management
Ohio
$246K -$22.5K -143 -9%
SDAM
542
Shulman DeMeo Asset Management
New York
$245K +$2.2K +14 +0.9%
AWM
543
Apollon Wealth Management
South Carolina
$241K +$233K +1,480 New
WPC
544
Wedmont Private Capital
Pennsylvania
$240K +$224K +1,422 New
MCM
545
MAI Capital Management
Ohio
$239K +$231K +1,470 New
GFS
546
GYL Financial Synergies
Connecticut
$238K +$230K +1,462 New
SWA
547
Sax Wealth Advisors
New Jersey
$236K
BPA
548
Beacon Pointe Advisors
California
$235K -$9.13K -58 -4%
RA
549
Rise Advisors
New York
$232K +$14K +89 +7%
HI
550
Horizon Investments
North Carolina
$230K -$10.5K -67 -5%