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Spectrum Brands

Name Holding Trade Value Shares
Change
Change in
Stake
TI
151
Trexquant Investment
Connecticut
$458K +$413K +4,189 New
ST
152
Spot Trading
Illinois
$437K +$394K +4,000 New
BNP Paribas Asset Management
153
BNP Paribas Asset Management
France
$422K
AAM
154
Advisors Asset Management
Colorado
$410K -$55.4K -562 -13%
SIA
155
SeaBridge Investment Advisors
New Jersey
$384K -$15.8K -160 -4%
Teacher Retirement System of Texas
156
Teacher Retirement System of Texas
Texas
$358K +$77.6K +787 +32%
HSBC Holdings
157
HSBC Holdings
United Kingdom
$352K -$6.31K -64 -2%
PM
158
Parametrica Management
Hong Kong
$342K +$309K +3,130 New
BCM
159
Bayesian Capital Management
New York
$339K +$306K +3,100 New
P
160
Pitcairn
Pennsylvania
$332K -$4.04K -41 -1%
BlackRock
161
BlackRock
New York
$327K -$739K -7,495 -71%
AB
162
Amalgamated Bank
New York
$327K +$22.9K +232 +8%
CG
163
Clinton Group
New York
$327K +$295K +2,994 New
TC
164
TradeLink Capital
Illinois
$323K +$291K +2,952 New
Simplex Trading
165
Simplex Trading
Illinois
$313K +$283K +2,870 New
Ameriprise
166
Ameriprise
Minnesota
$304K +$34.3K +348 +14%
Canada Life
167
Canada Life
Manitoba, Canada
$300K
SI
168
Scout Investments
Missouri
$295K -$137K -1,387 -34%
IRF
169
IBM Retirement Fund
New York
$282K -$322K -3,264 -56%
CCB
170
Cutter & Co Brokerage
Missouri
$282K +$255K +2,585 New
Los Angeles Capital Management
171
Los Angeles Capital Management
California
$279K -$2.63M -26,708 -91%
PAG
172
Private Advisor Group
New Jersey
$277K -$457K -4,630 -66%
VKH
173
Virtu KCG Holdings
New York
$263K +$237K +2,403 New
SW
174
SVB Wealth
Massachusetts
$261K +$38.8K +393 +20%
PNC Financial Services Group
175
PNC Financial Services Group
Pennsylvania
$246K -$31.6K -320 -12%