We are live on ! Find out more
TFCFA

Twenty-First Century Fox, Inc. Class A
TFCFA

Delisted

TFCFA was delisted on the 19th of March, 2019.

Name Holding Trade Value Shares
Change
Change in
Stake
SO
126
STRS Ohio
Ohio
$41.4M
SCA
127
Southpoint Capital Advisors
New York
$41.1M +$24.2M +700,000 +140%
ACM
128
Atlanta Capital Management
Georgia
$40.9M +$16.3M +470,812 +65%
SAM
129
Steinberg Asset Management
New York
$40.6M +$8.3M +239,985 +25%
IGIM
130
I.G. Investment Management
Manitoba, Canada
$39.9M -$3M -86,865 -7%
Retirement Systems of Alabama
131
Retirement Systems of Alabama
Alabama
$39.2M -$1.89M -54,795 -5%
EA
132
Euclid Advisors
Connecticut
$38.7M +$39M +1,128,170 New
MLICM
133
Metropolitan Life Insurance Company (MetLife)
New York
$38.4M -$1.19M -34,449 -3%
USAA
134
United Services Automobile Association
Texas
$37.5M -$1.58M -45,641 -4%
Capital International Investors
135
Capital International Investors
California
$37.4M
CA
136
Commerzbank Aktiengesellschaft
Germany
$37M +$6.03M +174,256 +19%
Calamos Advisors
137
Calamos Advisors
Illinois
$36.4M +$29.4M +850,185 +403%
TD Asset Management
138
TD Asset Management
Ontario, Canada
$35M -$7.14M -206,392 -17%
Canada Life
139
Canada Life
Manitoba, Canada
$33.9M -$1.67M -48,325 -5%
MCC
140
Mid Continent Capital
Illinois
$33.6M +$1.07M +30,830 +3%
VOYA Investment Management
141
VOYA Investment Management
Georgia
$32.3M -$185M -5,357,039 -85%
TG
142
TCW Group
California
$31.6M -$1.27M -36,600 -4%
FAM
143
Foxhaven Asset Management
Virginia
$31.5M +$6.81M +197,007 +27%
PWLP
144
Prio Wealth Limited Partnership
Massachusetts
$31.3M +$628K +18,157 +2%
PP
145
PDT Partners
New York
$31.1M +$28.9M +836,155 +1,183%
AIG
146
American International Group
New York
$30.8M -$15.9K -461 -0.1%
Citadel Advisors
147
Citadel Advisors
Florida
$30.6M -$22.8M -659,583 -43%
BCIM
148
British Columbia Investment Management
British Columbia, Canada
$30.4M -$3.72M -107,476 -11%
TCM
149
Tekne Capital Management
New York
$30.1M +$30.4M +879,000 New
STC
150
SEI Trust Company
Pennsylvania
$30M -$3.17M -91,540 -9%