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Teck Resources

Name Holding Trade Value Shares
Change
Change in
Stake
AF
276
Aviso Financial
Ontario, Canada
$636K +$94.5K +2,277 +15%
PIMJS
277
PKO Investment Management Joint-Stock
Poland
$633K +$207K +5,000 +41%
Osaic Holdings
278
Osaic Holdings
Arizona
$626K -$80.1K -1,932 -10%
VF
279
Virtu Financial
New York
$606K +$267K +6,430 +63%
OBGC
280
O'Brien Greene & Co
Pennsylvania
$600K -$44.6K -1,076 -6%
AV
281
ASR Vermogensbeheer
Netherlands
$599K +$682K +16,451 New
Commonwealth Equity Services
282
Commonwealth Equity Services
Massachusetts
$593K +$96.4K +2,323 +17%
FI
283
Fractal Investments
Connecticut
$591K
USAA
284
United Services Automobile Association
Texas
$585K +$6.26K +151 +1%
TC
285
TwinBeech Capital
New York
$573K +$363K +8,749 +125%
CWM
286
Chemistry Wealth Management
New York
$571K -$9.79K -236 -1%
Cambridge Investment Research Advisors
287
Cambridge Investment Research Advisors
Iowa
$570K -$82.4K -1,987 -11%
PAS
288
Park Avenue Securities
New York
$558K +$264K +6,353 +71%
1C
289
111 Capital
France
$556K +$633K +15,265 New
HT
290
Headlands Technologies
Illinois
$553K +$630K +15,185 New
IIM
291
INTECH Investment Management
Florida
$539K -$681K -16,418 -53%
Pathstone Holdings
292
Pathstone Holdings
New Jersey
$533K -$55.7K -1,342 -8%
MIM
293
Merrion Investment Management
New Jersey
$524K -$14.1K -341 -2%
P
294
&Partners
Tennessee
$520K +$310K +7,462 +116%
CCC
295
Chelsea Counsel Company
California
$509K
SC
296
Syon Capital
California
$501K +$54K +1,302 +10%
TRCT
297
Tower Research Capital (TRC)
New York
$496K +$559K +13,470 +10,052%
BCWM
298
Bartlett & Co Wealth Management
Ohio
$492K -$41.5K -1,000 -7%
MM
299
MQS Management
New York
$475K +$541K +13,032 New
AC
300
Aldebaran Capital
Indiana
$472K -$5.14K -124 -0.9%