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Reynolds Consumer Products

Name Holding Trade Value Shares
Change
Change in
Stake
COI
176
Connable Office Inc
Michigan
$206K +$223K +9,716 New
Pictet Asset Management
177
Pictet Asset Management
Switzerland
$205K
EWM
178
Empirical Wealth Management
Washington
$201K +$3.46K +151 +2%
BJL
179
Brighton Jones LLC
Washington
$201K +$217K +9,476 New
Ensign Peak Advisors
180
Ensign Peak Advisors
Utah
$196K
VCM
181
Versant Capital Management
Arizona
$180K -$108K -4,695 -36%
FDCDDQ
182
Federation des caisses Desjardins du Quebec
Quebec, Canada
$169K
Wells Fargo
183
Wells Fargo
California
$118K +$47.9K +2,090 +60%
CI
184
CX Institutional
Indiana
$111K -$7.81M -340,332 -98%
Acadian Asset Management
185
Acadian Asset Management
Massachusetts
$104K
QT
186
Quantbot Technologies
New York
$101K -$631K -27,491 -85%
EWA
187
EverSource Wealth Advisors
Alabama
$97.7K -$55.7K -2,427 -34%
EP
188
Essential Partners
California
$89.4K -$86.3K -3,764 -47%
PA
189
Parallel Advisors
California
$79.4K -$36.9K -1,610 -30%
BTI
190
Blue Trust Inc
Georgia
$75.7K +$10.3K +448 +14%
Osaic Holdings
191
Osaic Holdings
Arizona
$62.1K -$8.97K -391 -12%
HFS
192
Hantz Financial Services
Michigan
$61K -$23.3K -1,014 -26%
US Bancorp
193
US Bancorp
Minnesota
$58.8K -$25.3K -1,104 -28%
GI
194
GAMMA Investing
California
$56.4K +$7.66K +334 +14%
C
195
Covestor
United Kingdom
$56K -$63.5K -2,767 -51%
Simplex Trading
196
Simplex Trading
Illinois
$55.4K -$111K -4,854 -65%
AF
197
Allworth Financial
California
$50.9K -$33.5K -1,462 -38%
Rockefeller Capital Management
198
Rockefeller Capital Management
New York
$49.4K +$12.3K +536 +30%
LFG
199
Larson Financial Group
Missouri
$40.1K +$14.5K +631 +50%
SIC
200
SJS Investment Consulting
Ohio
$38.3K +$40.6K +1,770 +4,658%