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Teva Pharmaceutical Industries Limited

Name Holding Trade Value Shares
Change
Change in
Stake
AI
576
Accredited Investors
Minnesota
$393K – – –
MA
577
MUFG Americas
New York
$393K +$1.41K +27 +0.3%
CGH
578
Crossmark Global Holdings
Texas
$393K +$1.17M +22,339 New
BC
579
Brinker Capital
Pennsylvania
$386K +$98.2K +1,882 +29%
CS
580
Credential Securities
$382K -$81.4K -1,560 -16%
CAM
581
Carret Asset Management
New York
$375K -$2.61K -50 -0.6%
FANJ
582
Financial Architects (New Jersey)
New Jersey
$372K -$8.19K -157 -2%
Jones Financial Companies
583
Jones Financial Companies
Missouri
$370K -$26K -499 -6%
ASN
584
Advisory Services Network
Georgia
$365K +$18.6K +356 +5%
BTS
585
BB&T Securities
Virginia
$360K -$48.3K -925 -11%
NSAM
586
North Star Asset Management
Wisconsin
$352K -$12.3K -235 -3%
RCM
587
Riverhead Capital Management
Delaware
$350K -$473K -9,065 -54%
FTUS
588
Flow Traders U.S.
New York
$349K -$213K -4,089 -35%
WS
589
Wedbush Securities
California
$347K +$104K +1,995 +36%
WMSA
590
Weiss Multi-Strategy Advisers
New York
$345K +$11K +210 +3%
CBU
591
CIBC Bank USA
Illinois
$345K +$27.2K +522 +7%
DTL
592
Dynamic Technology Lab
Singapore
$345K +$58.4K +1,120 +18%
TRCT
593
Tower Research Capital (TRC)
New York
$345K +$357K +6,843 +1,046%
MTIM
594
Marathon Trading Investment Management
Pennsylvania
$344K +$36.5K +700 +10%
MHC
595
Meyer Handelman Company
New York
$343K – – –
CC
596
Cannell & Co
New York
$340K – – –
UBV
597
United Bank (Virginia)
Virginia
$337K -$555K -10,647 -59%
FM
598
Family Management
New York
$334K – – –
NFG
599
Next Financial Group
Texas
$328K +$125K +2,401 +51%
CTC
600
Central Trust Company
Missouri
$324K -$30.5K -584 -8%