We are live on ! Find out more
PVTB

PrivateBancorp Inc
PVTB

Delisted

PVTB was delisted on the 22nd of June, 2017.

Name Holding Trade Value Shares
Change
Change in
Stake
Vanguard Group
1
Vanguard Group
Pennsylvania
$324M +$12.2M +254,036 +4%
BFA
2
BlackRock Fund Advisors
California
$263M +$24.7M +512,132 +12%
State Street
3
State Street
Massachusetts
$227M +$4.68M +97,263 +2%
TP
4
Third Point
New York
$163M +$144M +3,000,000 New
AA
5
AQR Arbitrage
Connecticut
$161M +$64.4M +1,336,793 +81%
Morgan Stanley
6
Morgan Stanley
New York
$134M -$45.4M -943,889 -28%
BIT
7
BlackRock Institutional Trust
California
$132M +$3.31M +68,800 +3%
Dimensional Fund Advisors
8
Dimensional Fund Advisors
Texas
$122M -$880K -18,273 -0.8%
Goldman Sachs
9
Goldman Sachs
New York
$117M -$79M -1,640,235 -43%
Northern Trust
10
Northern Trust
Illinois
$115M +$850K +17,650 +0.8%
ECP
11
Empyrean Capital Partners
California
$81M +$71.9M +1,493,942 New
DKCM
12
Davidson Kempner Capital Management
New York
$80.4M +$71.5M +1,484,231 New
Schroder Investment Management Group
13
Schroder Investment Management Group
United Kingdom
$80.3M +$18.7M +389,405 +36%
UOC
14
UBS O'Connor
Illinois
$71M +$4.39M +91,105 +7%
JP Morgan Chase
15
JP Morgan Chase
New York
$68.4M +$27.3M +567,436 +82%
NIMC
16
NWQ Investment Management Company
California
$61.1M +$54.3M +1,128,401 New
Fuller & Thaler Asset Management
17
Fuller & Thaler Asset Management
California
$57.5M -$27.1M -562,091 -35%
SC
18
Samlyn Capital
New York
$56.5M +$50.2M +1,042,853 New
Marshall Wace
19
Marshall Wace
United Kingdom
$52.9M +$34M +706,884 +262%
CC
20
Carlson Capital
Texas
$51.5M -$51.7M -1,073,700 -53%
Bank of New York Mellon
21
Bank of New York Mellon
New York
$48.8M +$3.35M +69,556 +8%
Renaissance Technologies
22
Renaissance Technologies
New York
$47.3M +$42M +872,947 New
D.E. Shaw & Co
23
D.E. Shaw & Co
New York
$46.5M +$41.3M +858,535 New
DLPIC
24
Davide Leone & Partners Investment Company
United Kingdom
$41.8M +$37.1M +771,000 New
Bank of America
25
Bank of America
North Carolina
$40.4M +$540K +11,223 +2%