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SYNH

Syneos Health, Inc. Class A Common Stock

Delisted

SYNH was delisted on the 27th of September, 2023.

Name Holding Trade Value Shares
Change
Change in
Stake
M&T Bank
151
M&T Bank
New York
$3.14M -$460K -4,788 -14%
EIM
152
Essex Investment Management
Massachusetts
$3.03M -$65.7K -684 -2%
CAM
153
ClariVest Asset Management
California
$3.01M -$1.48M -15,400 -34%
JMPWA
154
JP Morgan Private Wealth Advisors
California
$2.96M -$184K -1,911 -6%
Osaic Holdings
155
Osaic Holdings
Arizona
$2.87M +$12.8K +133 +0.5%
ASRS
156
Arizona State Retirement System
Arizona
$2.86M -$40.3K -420 -1%
AIP
157
Ameritas Investment Partners
Nebraska
$2.85M +$34.2K +356 +1%
US Bancorp
158
US Bancorp
Minnesota
$2.84M -$60.4K -629 -2%
State of Tennessee, Department of Treasury
159
State of Tennessee, Department of Treasury
Tennessee
$2.8M
LSERS
160
Louisiana State Employees Retirement System
Louisiana
$2.74M +$28.8K +300 +1%
ProShare Advisors
161
ProShare Advisors
Maryland
$2.73M -$494K -5,148 -16%
SOMRS
162
State of Michigan Retirement System
Michigan
$2.7M +$38.4K +400 +2%
CNAM
163
Campbell Newman Asset Management
Wisconsin
$2.61M +$65.7K +684 +3%
Qube Research & Technologies (QRT)
164
Qube Research & Technologies (QRT)
United Kingdom
$2.57M +$2.41M +25,059 New
MFIMFI
165
Mesirow Financial Investment Management - Fixed Income
Illinois
$2.56M +$2.36M +24,530 +6,057%
EAM
166
Erste Asset Management
Austria
$2.53M
Stifel Financial
167
Stifel Financial
Missouri
$2.4M -$231K -2,410 -9%
1CM
168
1492 Capital Management
Wisconsin
$2.3M +$4.03K +42 +0.2%
BG
169
Bellevue Group
Switzerland
$2.21M -$3.41M -35,500 -62%
Victory Capital Management
170
Victory Capital Management
Texas
$2.16M -$731K -7,616 -27%
NMERB
171
New Mexico Educational Retirement Board
New Mexico
$2.16M
William Blair & Company
172
William Blair & Company
Illinois
$2.09M +$1.95M +20,323 New
Janus Henderson Group
173
Janus Henderson Group
$2.07M +$869K +9,045 +81%
OAM
174
Oppenheimer Asset Management
New York
$2.05M -$458K -4,770 -19%
Walleye Capital
175
Walleye Capital
New York
$2.04M +$1.91M +19,877 New