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SGEN

Seagen Inc. Common Stock

Delisted

SGEN was delisted on the 13th of December, 2023.

Name Holding Trade Value Shares
Change
Change in
Stake
Legal & General Group
26
Legal & General Group
United Kingdom
$102M -$2.79M -21,656 -3%
CGPCS
27
Capital Group Private Client Services
California
$101M -$2.32M -17,985 -2%
UBS AM
28
UBS AM
Illinois
$94.7M -$612K -4,745 -0.6%
Nuveen
29
Nuveen
North Carolina
$94.2M -$105M -816,835 -53%
VOYA Investment Management
30
VOYA Investment Management
Georgia
$94M +$15.1M +116,801 +19%
Morgan Stanley
31
Morgan Stanley
New York
$93.6M +$13.1M +101,477 +16%
AP
32
Antipodes Partners
Australia
$73.1M +$19.8M +153,439 +37%
Swiss National Bank
33
Swiss National Bank
Switzerland
$72.2M -$4.66M -36,092 -6%
EAM
34
Eagle Asset Management
Florida
$67.7M +$105K +813 +0.2%
CCM
35
Camber Capital Management
Massachusetts
$64.3M +$32.3M +250,000 +100%
Bank of America
36
Bank of America
North Carolina
$63.4M -$1.64M -12,702 -3%
Deutsche Bank
37
Deutsche Bank
Germany
$62.3M +$5.18M +40,162 +9%
Charles Schwab
38
Charles Schwab
California
$61.6M +$3.2M +24,829 +5%
First Trust Advisors
39
First Trust Advisors
Illinois
$57.9M -$9.15M -70,866 -14%
Sumitomo Mitsui Trust Group
40
Sumitomo Mitsui Trust Group
Japan
$57.5M -$1.42M -10,975 -2%
California Public Employees Retirement System
41
California Public Employees Retirement System
California
$57.4M -$11.4M -88,250 -16%
Renaissance Technologies
42
Renaissance Technologies
New York
$56.6M +$26.8M +207,500 +89%
RSCM
43
Rock Springs Capital Management
Maryland
$51.4M +$16.5M +128,200 +47%
Barclays
44
Barclays
United Kingdom
$47.4M +$7.48M +57,956 +19%
Amundi
45
Amundi
France
$47.2M +$17.1M +132,380 +59%
MNG
46
Manning & Napier Group
New York
$46.1M -$397K -3,079 -0.9%
APG Asset Management
47
APG Asset Management
Netherlands
$46M +$13M +100,500 +39%
Principal Financial Group
48
Principal Financial Group
Iowa
$45.8M +$8.19M +63,454 +22%
HSBC Holdings
49
HSBC Holdings
United Kingdom
$42M +$26.2M +202,685 +157%
Jennison Associates
50
Jennison Associates
New York
$40.9M -$738K -5,720 -2%