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Tyson Foods

Name Holding Trade Value Shares
Change
Change in
Stake
TSWM
476
Triangle Securities Wealth Management
North Carolina
$701K
ANB
477
Amarillo National Bank
Texas
$696K
AWM
478
Avitas Wealth Management
California
$683K -$1.46K -17 -0.2%
BCA
479
Bay Colony Advisors
Massachusetts
$683K +$671K +7,800 New
ABTD
480
Arvest Bank Trust Division
Oklahoma
$680K -$32.2K -375 -5%
CB
481
Cadence Bank
Mississippi
$676K +$23.6K +274 +4%
WIS
482
Wright Investors Service
Connecticut
$673K -$6.28K -73 -1%
SC
483
Scotia Capital
Ontario, Canada
$672K -$2.26M -26,302 -78%
HI
484
Horizon Investments
North Carolina
$671K +$312K +3,627 +97%
PA
485
Pinnacle Associates
New York
$659K -$10.2K -119 -2%
FA
486
FDx Advisors
Illinois
$652K -$3.1K -36 -0.5%
CONA
487
Capital One National Association
New York
$646K +$610K +7,092 New
CI
488
Cigna Investments
Connecticut
$642K -$70.6K -821 -10%
KRSITF
489
Kentucky Retirement Systems Insurance Trust Fund
Kentucky
$637K +$3.44K +40 +0.6%
VAM
490
Verity Asset Management
North Carolina
$633K -$26K -302 -4%
MPWT
491
MassMutual Private Wealth & Trust
Connecticut
$631K -$30.6K -356 -5%
Twin Tree Management
492
Twin Tree Management
Texas
$628K -$3.65M -42,500 -86%
Arrowstreet Capital
493
Arrowstreet Capital
Massachusetts
$619K +$51.6K +600 +10%
ECM
494
ETrade Capital Management
Virginia
$593K -$432K -5,026 -44%
CTC
495
Central Trust Company
Missouri
$592K -$25.8K -300 -4%
AI
496
Atria Investments
North Carolina
$592K +$290K +3,370 +108%
JFL
497
Jarislowsky, Fraser Ltd
Quebec, Canada
$591K
6M
498
6 Meridian
Kansas
$591K +$21.3K +248 +4%
SMC
499
Smith, Moore & Co
Missouri
$568K -$5.67K -66 -1%
CIM
500
CIM Investment Management
Pennsylvania
$566K +$534K +6,215 New