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Bio-Techne

Name Holding Trade Value Shares
Change
Change in
Stake
V
226
Veritable
Delaware
$402K -$1.6K -32 -0.4%
Truist Financial
227
Truist Financial
North Carolina
$399K -$8.02K -160 -2%
DTL
228
Dynamic Technology Lab
Singapore
$390K -$339K -6,752 -46%
DT
229
Diversified Trust
Tennessee
$368K +$30.1K +600 +9%
SI
230
Stephens Inc
Arkansas
$362K +$3.41K +68 +0.9%
TI
231
Trexquant Investment
Connecticut
$360K -$277K -5,516 -43%
Creative Planning
232
Creative Planning
Kansas
$354K +$4.61K +92 +1%
SG Americas Securities
233
SG Americas Securities
New York
$341K -$905K -18,052 -72%
ZB
234
Zions Bancorporation
Utah
$316K +$5.42K +108 +2%
MAM
235
Martingale Asset Management
Massachusetts
$315K
NA
236
Navellier & Associates
Nevada
$308K +$316K +6,296 New
ECM
237
ETrade Capital Management
Virginia
$305K +$15.6K +312 +5%
OPPM
238
Opus Point Partners Management
New York
$303K
PAG
239
Private Advisor Group
New Jersey
$295K +$302K +6,028 New
FFN
240
Focus Financial Network
Minnesota
$295K
LPT
241
Legacy Private Trust
Wisconsin
$294K
WDA
242
Wendell David Associates
New Hampshire
$294K
MC
243
Machina Capital
France
$294K +$161K +3,216 +115%
NFG
244
Next Financial Group
Texas
$286K -$72.2K -1,440 -20%
VAS
245
Vestmark Advisory Solutions
Massachusetts
$280K -$5.01K -100 -2%
MOS
246
MGO One Seven
Ohio
$278K +$201 +4 +0.1%
SEC
247
Seven Eight Capital
New York
$276K +$283K +5,636 New
ACM
248
AlphaCrest Capital Management
New York
$274K -$803K -16,020 -74%
CWA
249
Clarus Wealth Advisors
Arizona
$273K +$279K +5,572 New
WP
250
WMS Partners
Maryland
$271K +$69.2K +1,380 +33%