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Royal Caribbean

Name Holding Trade Value Shares
Change
Change in
Stake
CI
626
Cigna Investments
Connecticut
-$324K -3,858 Closed
AWM
627
Apollon Wealth Management
South Carolina
-$319K -3,813 Closed
Baird Financial Group
628
Baird Financial Group
Wisconsin
-$318K -3,792 Closed
DC
629
Davenport & Co
Virginia
-$314K -3,752 Closed
PAG
630
Private Advisory Group
Washington
-$312K -3,724 Closed
AGAM
631
Audent Global Asset Management
California
-$310K -3,706 Closed
OPWM
632
Oxinas Partners Wealth Management
Indiana
-$306K -3,650 Closed
SPC
633
Sigma Planning Corp
Michigan
-$303K -3,612 Closed
MGP
634
Metis Global Partners
California
-$300K -3,581 Closed
PP
635
Prudential plc
United Kingdom
-$300K -3,580 Closed
IRF
636
IBM Retirement Fund
New York
-$292K -3,484 Closed
ASN
637
Advisory Services Network
Georgia
-$289K -3,451 Closed
FFM
638
Forum Financial Management
Illinois
-$285K -3,404 Closed
PAS
639
Park Avenue Securities
New York
-$283K -3,377 Closed
V
640
Veritable
Delaware
-$281K -3,355 Closed
SP
641
Symmetry Partners
Connecticut
-$278K -3,313 Closed
CM
642
Caption Management
Oklahoma
-$201K -3,237 Closed
SFP
643
Sweet Financial Partners
Minnesota
-$271K -3,234 Closed
QTM
644
qPULA Trading Management
New York
-$268K -3,200 Closed
SC
645
Savant Capital
Illinois
-$268K -3,200 Closed
AAS
646
Ameritas Advisory Services
Nebraska
-$261K -3,113 Closed
MCM
647
MAI Capital Management
Ohio
-$256K -3,053 Closed
CK
648
Cohen Klingenstein
New York
-$251K -3,000 Closed
JAFL
649
Jay A. Fishman Ltd
Michigan
-$251K -3,000 Closed
LNC
650
Lincoln National Corp
Pennsylvania
-$247K -2,951 Closed