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Silicon Laboratories

Name Holding Trade Value Shares
Change
Change in
Stake
Swiss National Bank
51
Swiss National Bank
Switzerland
$9.62M +$143K +1,300 +2%
N
52
Natixis
France
$9.53M +$3.37M +30,768 +60%
MOACM
53
Mutual of America Capital Management
New York
$8.99M -$4.72K -43 -0.1%
Legal & General Group
54
Legal & General Group
United Kingdom
$8.93M +$429K +3,908 +5%
Millennium Management
55
Millennium Management
New York
$8.62M +$6.57M +59,886 +416%
UBS Group
56
UBS Group
Switzerland
$8.6M +$3.5M +31,956 +76%
DIA
57
Davidson Investment Advisors
Montana
$8.53M -$42.6K -388 -0.5%
ORI
58
Oak Ridge Investments
Illinois
$8.36M -$990K -9,027 -11%
FCM
59
Frontier Capital Management
Massachusetts
$8.36M -$762K -6,945 -9%
PC
60
Pier Capital
Connecticut
$8.1M -$72.2K -658 -0.9%
PW
61
Price Wealth
Texas
$8.1M
Thrivent Financial for Lutherans
62
Thrivent Financial for Lutherans
Minnesota
$8.03M +$1.33M +12,084 +21%
Royal Bank of Canada
63
Royal Bank of Canada
Ontario, Canada
$7.98M +$5.74M +52,322 +317%
State of Wisconsin Investment Board
64
State of Wisconsin Investment Board
Wisconsin
$7.92M +$2.38M +21,700 +47%
New York State Teachers Retirement System (NYSTRS)
65
New York State Teachers Retirement System (NYSTRS)
New York
$7.71M
California State Teachers Retirement System (CalSTRS)
66
California State Teachers Retirement System (CalSTRS)
California
$7.62M -$145K -1,326 -2%
CS
67
Credit Suisse
Switzerland
$7.25M +$119K +1,087 +2%
CM
68
Castleark Management
Illinois
$7.18M -$2.41M -21,937 -26%
American Century Companies
69
American Century Companies
Missouri
$6.63M -$455K -4,153 -7%
AI
70
Axiom Investors
Connecticut
$6.55M +$1.53M +13,995 +33%
CC
71
Carlson Capital
Texas
$6.28M -$5.67M -51,705 -49%
Los Angeles Capital Management
72
Los Angeles Capital Management
California
$6.28M -$45.5K -415 -0.8%
Susquehanna International Group
73
Susquehanna International Group
Pennsylvania
$6.23M +$2.61M +23,762 +79%
JP Morgan Chase
74
JP Morgan Chase
New York
$6.22M -$141K -1,290 -2%
PPA
75
Parametric Portfolio Associates
Washington
$6.19M -$1.47M -13,405 -20%