We are live on ! Find out more
TDG icon

TransDigm Group

Name Holding Trade Value Shares
Change
Change in
Stake
Retirement Systems of Alabama
101
Retirement Systems of Alabama
Alabama
$70.4M -$854K -608 -1%
MVIP
102
Mar Vista Investment Partners
California
$69.5M -$6.56M -4,670 -9%
Tudor Investment Corp
103
Tudor Investment Corp
Connecticut
$69.1M +$56.4M +40,127 +756%
New York State Teachers Retirement System (NYSTRS)
104
New York State Teachers Retirement System (NYSTRS)
New York
$67.8M +$14K +10 +0%
AIM
105
Artemis Investment Management
United Kingdom
$65.2M +$60.3M +42,903 New
EAM
106
EULAV Asset Management
Florida
$64.9M -$64M -45,600 -52%
Aviva
107
Aviva
United Kingdom
$63.7M +$43.1M +30,721 +275%
Aberdeen Group
108
Aberdeen Group
United Kingdom
$61.6M +$2.59M +1,843 +5%
Focus Partners Wealth
109
Focus Partners Wealth
Massachusetts
$61.1M +$1.96M +1,397 +4%
National Bank of Canada
110
National Bank of Canada
Quebec, Canada
$59.7M -$3.38M -2,405 -6%
CII
111
Capital International Inc
California
$59.5M +$834K +594 +2%
SI
112
Symmetry Investments
Jersey
$58.7M +$47.6M +33,867 +718%
CCM
113
Chilton Capital Management
Texas
$58.5M +$11.3M +8,041 +26%
CI Investments Inc
114
CI Investments Inc
Ontario, Canada
$57.3M -$11.7M -8,319 -18%
KK
115
KLP Kapitalforvaltning
Norway
$56.7M +$2.25M +1,600 +4%
O
116
Ossiam
France
$56.3M +$263K +187 +0.5%
Manulife (Manufacturers Life Insurance)
117
Manulife (Manufacturers Life Insurance)
Ontario, Canada
$56.1M -$1.69M -1,206 -3%
Massachusetts Financial Services
118
Massachusetts Financial Services
Massachusetts
$54.3M -$17.8M -12,638 -26%
SAM
119
Storebrand Asset Management
Norway
$53.3M +$6.73M +4,795 +16%
CSNH
120
Crow's Nest Holdings
Virginia
$53.2M -$7.72M -5,500 -14%
RFC
121
Regions Financial Corp
Alabama
$53M -$22.5K -16 -0%
APG Asset Management
122
APG Asset Management
Netherlands
$51.8M +$1.37M +978 +3%
CPC
123
Cookson Peirce & Co
Pennsylvania
$51.4M -$1.06M -758 -2%
CF
124
Cypress Funds
California
$50.7M +$7.79M +5,545 +20%
AM
125
Ampfield Management
New York
$50.6M -$927K -660 -2%