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Regeneron Pharmaceuticals

Name Holding Trade Value Shares
Change
Change in
Stake
CPCPP
676
Canada Post Corporation Pension Plan
Canada
$638K +$678K +1,215 New
TAM
677
Trust Asset Management
Texas
$637K
KA
678
Kintegral Advisory
New York
$632K -$1.67K -3 -0.2%
SCM
679
SKBA Capital Management
California
$629K +$123K +221 +23%
CTC
680
Central Trust Company
Missouri
$626K -$597K -1,069 -47%
ATS
681
Ashton Thomas Securities
New York
$626K +$38.5K +69 +6%
HI
682
Humankind Investments
New York
$625K -$133K -239 -17%
AWM
683
Aviso Wealth Management
Washington
$624K -$835K -1,496 -56%
MAS
684
Meeder Advisory Services
Ohio
$623K -$174K -311 -21%
PCP
685
Perbak Capital Partners
United Kingdom
$613K +$651K +1,167 New
SBFM
686
S-Bank Fund Management
Finland
$611K +$69.8K +125 +12%
MIM
687
Morningstar Investment Management
Illinois
$608K +$647K +1,159 New
WCM
688
Weaver Capital Management
Georgia
$607K -$99.3K -178 -13%
CPBTD
689
Central Pacific Bank - Trust Division
Hawaii
$607K +$268K +480 +71%
BCV
690
Banque Cantonale Vaudoise
Switzerland
$606K -$792K -1,419 -55%
FIM
691
Freedom Investment Management
Connecticut
$603K +$36.8K +66 +6%
HIIFS
692
Harel Insurance Investments & Financial Services
Israel
$597K +$276K +495 +77%
SC
693
Scotia Capital
Ontario, Canada
$596K +$3.35K +6 +0.5%
AS
694
Aware Super
Australia
$592K -$1.09M -1,949 -63%
WC
695
Westhampton Capital
North Carolina
$592K +$23.4K +42 +4%
CFG
696
Cooper Financial Group
California
$591K +$206K +369 +49%
Bessemer Group
697
Bessemer Group
New Jersey
$586K -$56.4K -101 -8%
GBT
698
Grove Bank & Trust
Florida
$581K +$166K +297 +37%
CCM
699
Coldstream Capital Management
Washington
$574K -$136K -244 -18%
CGL
700
Clarius Group LLC
Washington
$572K -$22.3K -40 -4%