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Selective Insurance

Name Holding Trade Value Shares
Change
Change in
Stake
New York State Common Retirement Fund
76
New York State Common Retirement Fund
New York
$3.58M
VOYA Investment Management
77
VOYA Investment Management
Georgia
$3.45M +$291K +4,862 +10%
Ensign Peak Advisors
78
Ensign Peak Advisors
Utah
$3.23M
TPSF
79
Texas Permanent School Fund
Texas
$3.22M -$469K -7,828 -14%
LBD
80
Landsberg Bennett & Dubbaneh
Florida
$3.21M -$7.73K -129 -0.3%
Envestnet Asset Management
81
Envestnet Asset Management
Illinois
$3.16M -$73.9K -1,233 -3%
Allianz Asset Management
82
Allianz Asset Management
Germany
$3.09M -$215K -3,595 -7%
State Board of Administration of Florida Retirement System
83
State Board of Administration of Florida Retirement System
Florida
$3.03M -$171K -2,850 -6%
LPL Financial
84
LPL Financial
California
$3M -$1.74K -29 -0.1%
FNBOO
85
First National Bank of Omaha
Nebraska
$2.88M +$149K +2,494 +6%
AG
86
Aperio Group
California
$2.71M -$46.4K -774 -2%
Comerica Bank
87
Comerica Bank
Texas
$2.38M -$46.6K -778 -2%
IA
88
Insight Advisors
Pennsylvania
$2.36M +$2.11M +35,295 New
American Century Companies
89
American Century Companies
Missouri
$2.26M +$245K +4,094 +14%
Balyasny Asset Management
90
Balyasny Asset Management
Illinois
$2.23M +$1.99M +33,242 New
ACM
91
Alamar Capital Management
California
$2.17M +$1.94M +32,363 New
MSA
92
Mason Street Advisors
Wisconsin
$2.14M -$3.35K -56 -0.2%
Creative Planning
93
Creative Planning
Kansas
$2.05M -$6.89K -115 -0.4%
US Bancorp
94
US Bancorp
Minnesota
$2M +$5.81K +97 +0.3%
Stifel Financial
95
Stifel Financial
Missouri
$1.96M -$19.8K -331 -1%
Renaissance Technologies
96
Renaissance Technologies
New York
$1.96M -$11.6M -194,300 -87%
PNC Financial Services Group
97
PNC Financial Services Group
Pennsylvania
$1.95M +$33.2K +554 +2%
JMPWA
98
JP Morgan Private Wealth Advisors
California
$1.9M +$130K +2,171 +8%
Nisa Investment Advisors
99
Nisa Investment Advisors
Missouri
$1.85M +$3.29K +55 +0.2%
MLICM
100
Metropolitan Life Insurance Company (MetLife)
New York
$1.75M -$66.7K -1,113 -4%