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Rocket Pharmaceuticals

Name Holding Trade Value Shares
Change
Change in
Stake
ProShare Advisors
126
ProShare Advisors
Maryland
$61.4K -$12.4K -3,125 -15%
Barclays
127
Barclays
United Kingdom
$59.4K -$542K -136,471 -89%
SPIA
128
Steward Partners Investment Advisory
New York
$58.5K
New York State Common Retirement Fund
129
New York State Common Retirement Fund
New York
$54.1K
VOYA Investment Management
130
VOYA Investment Management
Georgia
$52.4K
Prudential Financial
131
Prudential Financial
New Jersey
$50.7K +$56.3K +14,175 New
GSC
132
Ground Swell Capital
South Carolina
$50.1K +$55.6K +14,001 New
EP
133
Essential Partners
California
$48.5K +$42.4K +10,670 +372%
Ameriprise
134
Ameriprise
Minnesota
$46.5K -$246 -62 -0.5%
Optiver Holding
135
Optiver Holding
Netherlands
$44.7K +$42.4K +10,659 +584%
Canada Life
136
Canada Life
Manitoba, Canada
$44K +$11K +2,756 +29%
BIG
137
Brooklyn Investment Group
New York
$42.3K -$29.3K -7,374 -38%
Victory Capital Management
138
Victory Capital Management
Texas
$41.4K +$354 +89 +0.8%
SA
139
Sanctuary Advisors
Indiana
$41.4K -$23.4K -5,880 -34%
GC
140
Grimes & Company
Massachusetts
$41.3K -$4.36K -1,098 -9%
ECM
141
Evergreen Capital Management
Washington
$41.1K -$5.75K -1,447 -11%
APM
142
a16z Perennial Management
California
$40.6K
Verition Fund Management
143
Verition Fund Management
Connecticut
$40.1K +$44.5K +11,197 New
S
144
SignatureFD
Georgia
$40K -$9.17K -2,307 -17%
Franklin Resources
145
Franklin Resources
California
$39.7K +$982 +247 +2%
TRCT
146
Tower Research Capital (TRC)
New York
$38.3K +$25.7K +6,468 +153%
AHL
147
Abel Hall LLC
Louisiana
$37.2K -$14.9K -3,755 -27%
AF
148
Allworth Financial
California
$31.1K +$22.7K +5,712 +191%
PNC Financial Services Group
149
PNC Financial Services Group
Pennsylvania
$29.7K +$4.63K +1,165 +16%
AIP
150
Ameritas Investment Partners
Nebraska
$27.9K