We are live on ! Find out more
PPLI

People Inc

Name Holding Trade Value Shares
Change
Change in
Stake
PGIM
201
Pacific Global Investment Management
California
$3.17M +$915K +11,945 +64%
Nisa Investment Advisors
202
Nisa Investment Advisors
Missouri
$3.14M
RIM
203
Regent Investment Management
Kentucky
$3.12M -$161K -2,098 -6%
Los Angeles Capital Management
204
Los Angeles Capital Management
California
$3.08M +$1.71M +22,336 +300%
TCM
205
Tandem Capital Management
New Jersey
$3.04M +$5.21K +68 +0.2%
ERSOT
206
Employees Retirement System of Texas
Texas
$2.97M
FAF
207
Första AP-fonden
Sweden
$2.95M +$239K +3,115 +12%
Aviva
208
Aviva
United Kingdom
$2.88M -$230 -3 -0%
Mitsubishi UFJ Asset Management
209
Mitsubishi UFJ Asset Management
Japan
$2.85M +$103K +1,347 +5%
URS
210
Utah Retirement Systems
Utah
$2.85M +$98.3K +1,283 +5%
BSCM
211
Berry Street Capital Management
United Kingdom
$2.84M +$2.11M +27,482 New
Toronto Dominion Bank
212
Toronto Dominion Bank
Ontario, Canada
$2.83M +$242K +3,159 +13%
D.E. Shaw & Co
213
D.E. Shaw & Co
New York
$2.77M +$258K +3,368 +14%
MGIA
214
Moneta Group Investment Advisors
Missouri
$2.75M +$21.5K +280 +1%
SG Americas Securities
215
SG Americas Securities
New York
$2.74M +$472K +6,156 +30%
Brown Advisory
216
Brown Advisory
Maryland
$2.65M +$363K +4,735 +23%
Zurich Cantonal Bank
217
Zurich Cantonal Bank
Switzerland
$2.64M -$119K -1,549 -6%
BCM
218
Brooktree Capital Management
Michigan
$2.63M +$796K +10,386 +69%
Twin Tree Management
219
Twin Tree Management
Texas
$2.62M +$430K +5,607 +28%
VFA
220
Voya Financial Advisors
Connecticut
$2.58M +$541K +7,059 +39%
CIBC Private Wealth Group
221
CIBC Private Wealth Group
Georgia
$2.57M +$599K +7,816 +46%
IMRF
222
Illinois Municipal Retirement Fund
Illinois
$2.55M +$1.74M +22,764 +1,210%
BCIM
223
British Columbia Investment Management
British Columbia, Canada
$2.54M -$45.8K -597 -2%
Susquehanna International Group
224
Susquehanna International Group
Pennsylvania
$2.5M +$1.54M +20,036 +484%
Group One Trading
225
Group One Trading
Illinois
$2.41M -$498K -6,501 -22%