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STL

Sterling Bancorp

Delisted

STL was delisted on the 31st of January, 2022.

Name Holding Trade Value Shares
Change
Change in
Stake
BCM
26
Basswood Capital Management
New York
$8.72M +$8.61M +726,525 New
GF
27
Gabelli Funds
New York
$8.38M +$181K +15,300 +2%
HVIA
28
Hudson Valley Investment Advisors
New York
$8.3M -$171K -14,404 -2%
NAM
29
Netols Asset Management
Wisconsin
$7.7M -$300K -25,282 -4%
HHC
30
Hutchin Hill Capital
New York
$6.48M +$476K +40,200 +8%
Wells Fargo
31
Wells Fargo
California
$6.31M -$967K -81,623 -13%
Principal Financial Group
32
Principal Financial Group
Iowa
$5.97M -$3.7K -312 -0.1%
ECA
33
Endeavour Capital Advisors
Connecticut
$5.9M +$33.7K +2,842 +0.6%
RFC
34
Russell Frank Company
Washington
$5.75M +$180K +15,169 +3%
ACM
35
Argent Capital Management
Missouri
$5.66M +$1.13M +95,250 +25%
Geode Capital Management
36
Geode Capital Management
Massachusetts
$5.52M +$51.5K +4,344 +1%
Macquarie Group
37
Macquarie Group
Australia
$4.74M +$1.47M +124,110 +46%
PI
38
Putnam Investments
Massachusetts
$4.7M -$203K -17,100 -4%
TCIM
39
TIAA CREF Investment Management
New York
$4.57M -$61.1K -5,152 -1%
BGIM
40
Brandywine Global Investment Management
Pennsylvania
$3.93M -$223K -18,800 -5%
AIS
41
AlphaOne Investment Services
Pennsylvania
$3.82M -$81.1K -6,845 -2%
BIM
42
BlackRock Investment Management
Delaware
$3.66M -$281K -23,695 -7%
PCMF
43
Private Capital Management (Florida)
Florida
$2.95M -$76.7K -6,475 -3%
MCM
44
Maltese Capital Management
New York
$2.7M +$2.67M +225,000 New
Charles Schwab
45
Charles Schwab
California
$2.63M +$134K +11,348 +5%
EWM
46
Evercore Wealth Management
New York
$2.4M
PPA
47
Parametric Portfolio Associates
Washington
$2.25M +$86.3K +7,282 +4%
Prudential Financial
48
Prudential Financial
New Jersey
$2.23M +$74.7K +6,300 +4%
New York State Common Retirement Fund
49
New York State Common Retirement Fund
New York
$2.1M +$119K +10,000 +6%
Public Sector Pension Investment Board (PSP Investments)
50
Public Sector Pension Investment Board (PSP Investments)
Quebec, Canada
$2.08M +$165K +13,945 +9%