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Bio-Techne

Name Holding Trade Value Shares
Change
Change in
Stake
HIA
301
Harbor Investment Advisory
Maryland
$616K +$20K +373 +3%
WIC
302
Willis Investment Counsel
Georgia
$615K +$592K +11,053 New
Bank of Nova Scotia
303
Bank of Nova Scotia
Ontario, Canada
$606K +$95.3K +1,779 +20%
Twin Tree Management
304
Twin Tree Management
Texas
$601K -$1.87M -34,831 -76%
GC
305
Guggenheim Capital
Illinois
$600K +$26.9K +503 +5%
Kovitz Investment Group Partners
306
Kovitz Investment Group Partners
Illinois
$599K +$577K +10,773 New
DT
307
Diversified Trust
Tennessee
$596K -$257K -4,795 -31%
CGH
308
Crossmark Global Holdings
Texas
$588K +$696 +13 +0.1%
FC
309
FORA Capital
Florida
$582K -$15.9K -297 -3%
RHJA
310
Rice Hall James & Associates
California
$562K -$1.66K -31 -0.3%
MML Investors Services
311
MML Investors Services
Massachusetts
$555K -$20.8K -388 -4%
CPIG
312
Chicago Partners Investment Group
Illinois
$554K +$182K +3,403 +65%
VAS
313
Vestmark Advisory Solutions
Massachusetts
$554K -$295K -5,513 -36%
SG Americas Securities
314
SG Americas Securities
New York
$553K +$1.45K +27 +0.3%
DP
315
Dundas Partners
United Kingdom
$553K +$532K +9,936 New
SCM
316
Sterling Capital Management
North Carolina
$539K -$51.4K -960 -9%
GS
317
Gagnon Securities
New York
$535K +$18.4K +344 +4%
N
318
Numerai
California
$534K -$5.45M -101,820 -91%
Wolverine Trading
319
Wolverine Trading
Illinois
$531K +$156K +2,914 +40%
Franklin Resources
320
Franklin Resources
California
$524K -$127K -2,379 -20%
Acadian Asset Management
321
Acadian Asset Management
Massachusetts
$519K +$501K +9,351 New
OTL
322
Oak Thistle LLC
New York
$518K +$9.27K +173 +2%
HIMCH
323
Hartford Investment Management Co (HIMCO)
Connecticut
$515K -$5.14K -96 -1%
PCM
324
Penserra Capital Management
California
$505K +$487K +9,091 New
Aberdeen Group
325
Aberdeen Group
United Kingdom
$499K -$4.72M -88,152 -91%