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Robert Half

Name Holding Trade Value Shares
Change
Change in
Stake
Stifel Financial
51
Stifel Financial
Missouri
$25.5M -$2.91M -67,922 -11%
DS
52
Dudley & Shanley
Florida
$25.4M -$42.8K -1,000 -0.2%
Millennium Management
53
Millennium Management
New York
$24.9M +$21.9M +510,801 New
Credit Agricole
54
Credit Agricole
France
$24.9M -$3.69M -86,037 -14%
TRSOTSOK
55
Teachers Retirement System of the State of Kentucky
Kentucky
$22.9M +$538K +12,565 +3%
GAM
56
Gotham Asset Management
New York
$22.7M -$2.01M -47,033 -9%
HCM
57
Hutchinson Capital Management
California
$22.3M -$405K -9,466 -2%
ELI
58
Empire Life Investments
Ontario, Canada
$20.7M +$18.7M +436,108 New
T. Rowe Price Associates
59
T. Rowe Price Associates
Maryland
$20.3M +$565K +13,200 +3%
New York State Common Retirement Fund
60
New York State Common Retirement Fund
New York
$20.3M -$310K -7,235 -2%
SI
61
Scout Investments
Missouri
$19.7M -$962K -22,454 -5%
Canada Pension Plan Investment Board
62
Canada Pension Plan Investment Board
Ontario, Canada
$19.1M -$5.67M -132,284 -25%
TD Asset Management
63
TD Asset Management
Ontario, Canada
$18.4M +$12.8M +299,690 +391%
California Public Employees Retirement System
64
California Public Employees Retirement System
California
$18.3M -$1.02M -23,800 -6%
Sumitomo Mitsui Trust Group
65
Sumitomo Mitsui Trust Group
Japan
$18.2M -$70.6K -1,648 -0.4%
TAM
66
Todd Asset Management
Kentucky
$17.8M +$1.02M +23,927 +7%
Swiss National Bank
67
Swiss National Bank
Switzerland
$17.7M
PPA
68
Parametric Portfolio Associates
Washington
$17.4M -$863K -20,158 -5%
WG
69
Winton Group
United Kingdom
$17.1M +$6.27M +146,306 +71%
BlackRock
70
BlackRock
New York
$16.3M -$7.69M -179,579 -35%
Morgan Stanley
71
Morgan Stanley
New York
$16.2M -$2.72M -63,429 -16%
Federated Hermes
72
Federated Hermes
Pennsylvania
$14.8M +$6.08M +141,948 +88%
Retirement Systems of Alabama
73
Retirement Systems of Alabama
Alabama
$14.5M -$3.98M -92,831 -24%
CS
74
Credit Suisse
Switzerland
$14.1M +$2.21M +51,679 +22%
BCM
75
BlueCrest Capital Management
Jersey
$13.3M +$11.7M +273,014 New