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THR

Thermon Group Holdings

Delisted

THR was delisted on the 29th of May, 2026.

Name Holding Trade Value Shares
Change
Change in
Stake
Royal Bank of Canada
26
Royal Bank of Canada
Ontario, Canada
$7.33M +$473K +15,668 +7%
Ohio Public Employees Retirement System (OPERS)
27
Ohio Public Employees Retirement System (OPERS)
Ohio
$7.27M +$3.23K +107 +0%
HA
28
Heartland Advisors
Wisconsin
$7.19M -$33.2K -1,100 -0.5%
MIM
29
Meros Investment Management
Texas
$6.4M +$138K +4,587 +2%
KCM
30
Kennedy Capital Management
Missouri
$6.4M -$314K -10,420 -5%
Assenagon Asset Management
31
Assenagon Asset Management
Luxembourg
$6.04M +$61.4K +2,035 +1%
William Blair & Company
32
William Blair & Company
Illinois
$5.7M -$184K -6,107 -3%
AE
33
AMH Equity
New York
$4.41M +$1.14M +37,740 +34%
Russell Investments Group
34
Russell Investments Group
United Kingdom
$4.07M -$7.03K -233 -0.2%
Renaissance Technologies
35
Renaissance Technologies
New York
$3.74M -$1.59M -52,600 -30%
Bank of New York Mellon
36
Bank of New York Mellon
New York
$3.33M -$831K -27,568 -20%
T. Rowe Price Associates
37
T. Rowe Price Associates
Maryland
$3.03M -$17.3K -575 -0.6%
RHJA
38
Rice Hall James & Associates
California
$2.89M -$19.8K -655 -0.7%
Nuveen
39
Nuveen
North Carolina
$2.81M
First Trust Advisors
40
First Trust Advisors
Illinois
$2.25M -$342K -11,349 -13%
TD Asset Management
41
TD Asset Management
Ontario, Canada
$2.08M
UBS AM
42
UBS AM
Illinois
$2.02M -$106K -3,499 -5%
Swiss National Bank
43
Swiss National Bank
Switzerland
$1.98M
Invesco
44
Invesco
Georgia
$1.66M -$3.3M -109,368 -66%
Barclays
45
Barclays
United Kingdom
$1.62M +$1.24M +41,009 +312%
Qube Research & Technologies (QRT)
46
Qube Research & Technologies (QRT)
United Kingdom
$1.6M +$787K +26,106 +95%
Arrowstreet Capital
47
Arrowstreet Capital
Massachusetts
$1.56M -$3.29M -109,042 -68%
American Century Companies
48
American Century Companies
Missouri
$1.46M +$265K +8,777 +22%
Two Sigma Advisers
49
Two Sigma Advisers
New York
$1.46M -$492K -16,300 -25%
Jane Street
50
Jane Street
New York
$1.45M +$421K +13,950 +40%