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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
VOYA Investment Management
151
VOYA Investment Management
Georgia
$31.8M +$29.9M +949,563 New
Nisa Investment Advisors
152
Nisa Investment Advisors
Missouri
$31.2M -$5.47M -173,592 -16%
BII
153
Baring International Investment
United Kingdom
$30.2M +$28.3M +900,007 New
AIG
154
American International Group
New York
$29.9M +$28.1M +892,519 New
MSA
155
Mason Street Advisors
Wisconsin
$28.8M +$27.1M +860,155 New
IRF
156
IBM Retirement Fund
New York
$27.3M +$25.7M +816,302 New
KBC Group
157
KBC Group
Belgium
$27.3M +$25.7M +815,792 New
CCMH
158
Cornerstone Capital Management Holdings
New York
$27.2M +$25.6M +813,017 New
JRP
159
Jasper Ridge Partners
California
$27.1M +$25.5M +808,452 New
SOMRS
160
State of Michigan Retirement System
Michigan
$27.1M +$25.4M +807,877 New
ARC
161
Absolute Return Capital
Massachusetts
$26.7M +$25.1M +796,193 New
Loomis, Sayles & Company
162
Loomis, Sayles & Company
Massachusetts
$26.6M +$25M +795,276 New
IG
163
ING Group
Netherlands
$26.6M +$25M +793,810 New
Korea Investment Corp
164
Korea Investment Corp
South Korea
$26.4M +$24.8M +787,300 New
FA
165
Friess Associates
Delaware
$26.3M -$2.64M -83,739 -10%
SCA
166
SAC Capital Advisors
Connecticut
$25.9M +$24.3M +772,007 New
SIM
167
SRS Investment Management
New York
$25.1M +$23.6M +750,000 New
BPM
168
Bronson Point Management
Connecticut
$24.8M +$23.3M +740,000 New
CCM
169
Criterion Capital Management
California
$24.1M +$22.7M +720,000 New
ERSOT
170
Employees Retirement System of Texas
Texas
$24.1M +$22.6M +719,170 New
CCP
171
Clough Capital Partners
Massachusetts
$23.8M +$22.4M +711,700 New
PNC Financial Services Group
172
PNC Financial Services Group
Pennsylvania
$23.5M +$22.1M +701,907 New
Canada Life
173
Canada Life
Manitoba, Canada
$23.3M +$22M +697,833 New
SCM
174
Sandler Capital Management
New York
$23.3M +$21.9M +695,500 New
CAM
175
ClariVest Asset Management
California
$23.3M +$21.9M +694,940 New