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Constellation Brands

Name Holding Trade Value Shares
Change
Change in
Stake
AWS
376
Aris Wealth Services
Pennsylvania
$868K -$39.3K -333 -4%
PL
377
Parkwood LLC
Ohio
$826K +$1.53K +13 +0.2%
HR
378
Howe & Rusling
New York
$809K -$1.06K -9 -0.1%
Jane Street
379
Jane Street
New York
$767K -$204K -1,731 -21%
ANRIA
380
American National Registered Investment Advisor
Texas
$760K – – –
MNBTD
381
Moody National Bank Trust Division
Texas
$755K – – –
TMAM
382
Tokio Marine Asset Management
Japan
$749K -$122K -1,033 -14%
UR
383
USCA RIA
Texas
$737K +$112K +950 +18%
NCA
384
NCM Capital Advisers
North Carolina
$725K -$213K -1,800 -22%
ZIM
385
Zacks Investment Management
Illinois
$702K +$48.1K +407 +7%
AB
386
Amalgamated Bank
New York
$698K +$47.3K +401 +7%
BCM
387
BlueCrest Capital Management
Jersey
$696K +$708K +6,000 New
TH
388
Timber Hill
Connecticut
$690K +$702K +5,945 New
CAN
389
Cetera Advisor Networks
California
$678K – – –
WA
390
WESPAC Advisors
California
$672K +$684K +5,791 New
BC
391
Banced Corp
Illinois
$669K -$23.4K -198 -3%
FMBTD
392
First Midwest Bank Trust Division
Illinois
$646K +$14.2K +120 +2%
WSA
393
Wall Street Associates
California
$645K -$225K -1,903 -25%
SI
394
SII Investments
Wisconsin
$644K +$102K +861 +18%
CI
395
Cowen Inc
New York
$642K – – –
KRSITF
396
Kentucky Retirement Systems Insurance Trust Fund
Kentucky
$641K +$13.6K +115 +2%
Axa
397
Axa
France
$638K -$94.5K -800 -13%
AL
398
Airain Ltd
Guernsey
$601K +$612K +5,182 New
Bank of Nova Scotia
399
Bank of Nova Scotia
Ontario, Canada
$600K +$28.3K +240 +5%
BTS
400
BB&T Securities
Virginia
$598K +$131K +1,106 +27%