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SUM

Summit Materials, Inc. Class A Common Stock

Delisted

SUM was delisted on the 10th of February, 2025.

Name Holding Trade Value Shares
Change
Change in
Stake
New York State Common Retirement Fund
76
New York State Common Retirement Fund
New York
$8.7M +$237K +10,092 +3%
ACH
77
ArrowMark Colorado Holdings
Colorado
$8.69M +$1.45M +61,941 +21%
TCIM
78
TIAA CREF Investment Management
New York
$8.62M +$3.08M +131,212 +57%
GGHC
79
Gilder Gagnon Howe & Co
New York
$8.48M +$1.04M +44,423 +14%
PI
80
Putnam Investments
Massachusetts
$8.12M -$740K -31,555 -9%
LOAMU
81
Lombard Odier Asset Management (USA)
New York
$8.03M +$2.28M +97,383 +41%
CAM
82
Cortina Asset Management
Wisconsin
$7.83M -$1.89M -80,612 -20%
American Century Companies
83
American Century Companies
Missouri
$7.83M +$272K +11,610 +4%
GC
84
Guggenheim Capital
Illinois
$7.81M +$982K +41,859 +15%
VCP
85
Vernier Capital Partners
New York
$7.32M +$3.57M +152,211 +99%
AC
86
Apertura Capital
Texas
$6.18M +$6.05M +257,810 New
Axa
87
Axa
France
$5.62M +$2.39M +101,789 +77%
PC
88
Pier Capital
Connecticut
$5.46M +$2.65K +113 +0%
Morgan Stanley
89
Morgan Stanley
New York
$5.46M -$5.39M -229,557 -50%
RCMC
90
RK Capital Management (Colorado)
Colorado
$5.3M +$5.19M +221,201 New
California State Teachers Retirement System (CalSTRS)
91
California State Teachers Retirement System (CalSTRS)
California
$5.21M +$1.26M +53,521 +33%
Wells Fargo
92
Wells Fargo
California
$5.2M +$50.8K +2,164 +1%
California Public Employees Retirement System
93
California Public Employees Retirement System
California
$5.05M +$4.95M +210,785 New
IA
94
Icon Advisers
Colorado
$4.96M
Millennium Management
95
Millennium Management
New York
$4.83M -$11.5M -488,847 -71%
RA
96
Royce & Associates
New York
$4.67M +$1.96M +83,530 +75%
BPIM
97
Brant Point Investment Management
New York
$4.54M -$1.47M -62,802 -25%
PPA
98
Parametric Portfolio Associates
Washington
$4.43M -$155K -6,592 -3%
Swiss National Bank
99
Swiss National Bank
Switzerland
$4.31M +$569K +24,234 +16%
TCM
100
Tygh Capital Management
Oregon
$4.21M +$4.13M +175,831 New