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Name Holding Trade Value Shares
Change
Change in
Stake
VT
501
Vise Technologies
New York
$571K +$13.5K +65 +2%
FT
502
Fiduciary Trust
Massachusetts
$568K -$761K -3,673 -56%
QI
503
Qtron Investments
Massachusetts
$562K -$86.6K -418 -13%
GP
504
GLR Partners
Maryland
$562K +$33.6K +162 +6%
Optiver Holding
505
Optiver Holding
Netherlands
$560K +$596K +2,874 New
CPIG
506
Chicago Partners Investment Group
Illinois
$555K +$57.4K +277 +11%
Group One Trading
507
Group One Trading
Illinois
$554K +$264K +1,275 +81%
AU
508
AlphaGrep UK
$544K +$39.6K +191 +7%
WANY
509
Wealthspire Advisors (New York)
New York
$536K +$570K +2,748 New
JSL
510
JT Stratford LLC
Georgia
$534K -$137K -659 -19%
IG
511
ING Group
Netherlands
$533K +$567K +2,735 New
OAM
512
Ostrum Asset Management
France
$529K +$337K +1,627 +149%
ETC
513
Exchange Traded Concepts
Oklahoma
$527K +$16.4K +79 +3%
AAP
514
Arax Advisory Partners
Colorado
$522K +$488K +2,354 +722%
EWA
515
EP Wealth Advisors
California
$522K +$3.11K +15 +0.6%
WCM
516
Weaver Capital Management
Georgia
$518K
AWA
517
Aaron Wealth Advisors
Illinois
$517K +$54.7K +264 +11%
EAM
518
Empirical Asset Management
Massachusetts
$500K -$8.29K -40 -2%
KCP
519
Kera Capital Partners
California
$493K +$181K +871 +53%
SWM
520
Spire Wealth Management
Virginia
$483K +$106K +512 +26%
PAS
521
Park Avenue Securities
New York
$479K -$461K -2,223 -47%
BFM
522
Boothbay Fund Management
New York
$476K +$507K +2,444 New
TG
523
TCW Group
California
$475K +$1.86K +9 +0.4%
CPCPP
524
Canada Post Corporation Pension Plan
Canada
$472K
NWWA
525
New Wave Wealth Advisors
Arkansas
$472K +$74.6K +360 +17%