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Quantum Computing Inc

Name Holding Trade Value Shares
Change
Change in
Stake
Vanguard Group
1
Vanguard Group
Pennsylvania
$225M +$39.2M +2,286,514 +23%
BlackRock
2
BlackRock
New York
$192M +$59.8M +3,484,932 +50%
Alyeska Investment Group
3
Alyeska Investment Group
Illinois
$123M +$115M +6,716,819 New
Citadel Advisors
4
Citadel Advisors
Florida
$118M +$68.5M +3,995,611 +166%
AFM
5
Anson Funds Management
Texas
$98.9M +$11.9M +695,092 +15%
GCM
6
Ghisallo Capital Management
Massachusetts
$74.2M +$69.1M +4,030,092 New
TI
7
Tidal Investments
Wisconsin
$69.4M +$64.6M +3,767,600 New
Geode Capital Management
8
Geode Capital Management
Massachusetts
$57.8M +$8.69M +506,547 +19%
State Street
9
State Street
Massachusetts
$55.5M +$9.14M +532,566 +21%
PAMP
10
Polar Asset Management Partners
Ontario, Canada
$48.6M +$19.3M +1,127,427 +72%
MG
11
Marex Group
$42.9M +$33.9M +1,973,867 +560%
CS
12
Clear Street
New York
$38.5M +$35.8M +2,089,104 New
Susquehanna International Group
13
Susquehanna International Group
Pennsylvania
$35.8M +$13M +755,649 +63%
PCM
14
Penserra Capital Management
California
$30.2M +$10.6M +618,594 +61%
BNP Paribas Financial Markets
15
BNP Paribas Financial Markets
France
$29.2M +$17.2M +999,776 +170%
Morgan Stanley
16
Morgan Stanley
New York
$27.8M +$10.9M +636,917 +73%
Blackstone Inc
17
Blackstone Inc
New York
$24.7M +$23M +1,343,364 New
UBS Group
18
UBS Group
Switzerland
$23.3M +$9.79M +570,801 +82%
Northern Trust
19
Northern Trust
Illinois
$22.2M +$4.3M +250,761 +26%
Charles Schwab
20
Charles Schwab
California
$20.9M +$13.7M +796,218 +233%
FFN
21
Focus Financial Network
Minnesota
$20.6M +$14.8M +863,394 +340%
Mirae Asset Global ETFs Holdings
22
Mirae Asset Global ETFs Holdings
Hong Kong
$18.6M +$186K +10,860 +1%
JP Morgan Chase
23
JP Morgan Chase
New York
$17.2M +$15.1M +879,374 +1,612%
PHAM
24
Pacific Heights Asset Management
California
$12M +$4.29M +250,000 +63%
Goldman Sachs
25
Goldman Sachs
New York
$9.21M -$3.28M -191,132 -28%