We are live on ! Find out more
RTX icon

RTX Corp

Name Holding Trade Value Shares
Change
Change in
Stake
AT
601
Arden Trust
Delaware
$4.74M -$192K -2,822 -4%
WP
602
WMS Partners
Maryland
$4.73M -$107K -1,573 -2%
Creative Planning
603
Creative Planning
Kansas
$4.73M +$489K +7,167 +12%
EVM
604
Evelyn V. Moreno
$4.73M +$35.1K +515 +0.8%
SWK
605
Stephen W. Kidder
$4.7M +$331K +4,854 +8%
SIM
606
Sentry Investment Management
Wisconsin
$4.69M -$205K -3,003 -4%
GC
607
Gratus Capital
Georgia
$4.68M +$4.41M +64,723 New
CCM
608
Carderock Capital Management
Maryland
$4.64M +$38.2K +560 +0.9%
FMC
609
First Merchants Corp
Indiana
$4.64M -$92.1K -1,351 -2%
ANBTV
610
American National Bank & Trust (Virginia)
Virginia
$4.62M -$34K -499 -0.8%
APFBOT
611
Amica Pension Fund Board of Trustees
Rhode Island
$4.61M
JPMIA
612
J.P. Marvel Investment Advisors
Massachusetts
$4.6M -$8.66K -127 -0.2%
CCC
613
Cincinnati Casualty Company
Ohio
$4.6M
CVSCT
614
C.V. Starr & Co Trust
New York
$4.6M +$1.08M +15,890 +33%
GA
615
Geneva Advisors
Illinois
$4.58M +$383K +5,620 +10%
AC
616
Allstate Corporation
Illinois
$4.57M -$7.77M -113,930 -64%
P
617
Pitcairn
Pennsylvania
$4.55M +$140K +2,053 +3%
TMAM
618
Tokio Marine Asset Management
Japan
$4.55M -$1.42M -20,791 -25%
EFS
619
Essex Financial Services
Connecticut
$4.52M +$120K +1,762 +3%
ECM
620
Exchange Capital Management
Michigan
$4.51M +$162K +2,379 +4%
BRCM
621
Bright Rock Capital Management
Massachusetts
$4.49M -$325K -4,767 -7%
PG
622
Patten Group
Tennessee
$4.47M +$4.22M +61,836 New
DL
623
Delta Lloyd
Netherlands
$4.47M +$209K +3,066 +5%
PPCM
624
Pillar Pacific Capital Management
California
$4.47M +$67.2K +985 +2%
ORI
625
Oak Ridge Investments
Illinois
$4.41M -$321K -4,713 -7%