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Tyson Foods

Name Holding Trade Value Shares
Change
Change in
Stake
DTL
476
Dynamic Technology Lab
Singapore
$418K +$411K +5,600 New
ICOA
477
Investment Centers of America
North Dakota
$408K +$7.85K +107 +2%
Marshall Wace
478
Marshall Wace
United Kingdom
$401K -$111K -1,518 -22%
HIM
479
Hillsdale Investment Management
Ontario, Canada
$398K
CRCP
480
Copper Rock Capital Partners
Massachusetts
$398K +$183K +2,493 +88%
SNBOSD
481
Security National Bank of So Dak
Iowa
$379K -$110K -1,500 -23%
ONB
482
Old National Bancorp
Indiana
$378K -$79.1K -1,079 -18%
V
483
Veritable
Delaware
$378K +$62K +846 +20%
Fuller & Thaler Asset Management
484
Fuller & Thaler Asset Management
California
$366K -$80.7K -1,100 -18%
GCC
485
Guardian Capital (Canada)
Ontario, Canada
$360K -$90.1K -1,229 -20%
QCMC
486
Quantum Capital Management (California)
California
$357K -$4.55K -62 -1%
Pacer Advisors
487
Pacer Advisors
Pennsylvania
$357K -$2.05K -28 -0.6%
GIBU
488
Gulf International Bank (UK)
United Kingdom
$354K
CD
489
Carl Domino
Florida
$352K -$36.7K -500 -10%
Schroder Investment Management Group
490
Schroder Investment Management Group
United Kingdom
$350K -$14.3M -194,525 -98%
GCMG
491
Gyroscope Capital Management Group
Florida
$348K -$105K -1,430 -23%
SEIA
492
Signature Estate & Investment Advisors
California
$348K +$127K +1,736 +59%
Mariner
493
Mariner
Kansas
$344K +$338K +4,613 New
Fiera Capital (Canada)
494
Fiera Capital (Canada)
Quebec, Canada
$342K +$336K +4,589 New
BRWA
495
B. Riley Wealth Advisors
Florida
$337K +$330K +4,502 New
SM
496
Sciencast Management
New Jersey
$334K +$109K +1,481 +49%
CTC
497
Central Trust Company
Missouri
$331K -$72.6K -990 -18%
TF
498
Tompkins Financial
New York
$318K -$54.5K -743 -15%
BTS
499
BB&T Securities
Virginia
$313K +$308K +4,199 New
CCM
500
Cadence Capital Management
Massachusetts
$312K -$87.6K -1,194 -22%