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Tyson Foods

Name Holding Trade Value Shares
Change
Change in
Stake
MGP
501
Metis Global Partners
California
$627K -$19.1K -241 -2%
PA
502
Pinnacle Associates
New York
$620K -$143K -1,814 -16%
ACA
503
Atlas Capital Advisors
Wyoming
$618K -$20.6K -261 -3%
XT
504
XTX Topco
Cayman Islands
$617K +$741K +9,365 New
BDF
505
Balasa Dinverno & Foltz
$613K -$97.7K -1,235 -12%
CT
506
Columbia Trust
Oregon
$608K +$133K +1,682 +22%
M1FG
507
Mach-1 Financial Group
Arkansas
$602K -$11.9K -150 -2%
ECM
508
Everence Capital Management
Indiana
$601K
HI
509
Horizon Investments
North Carolina
$600K +$29.2K +369 +4%
VI
510
Versor Investments
New York
$598K -$2.09M -26,408 -74%
VAG
511
VisionPoint Advisory Group
Texas
$582K +$75.8K +958 +12%
AAS
512
Avantax Advisory Services
Texas
$580K -$52.6K -665 -7%
SACTSONJ
513
Supplemental Annuity Collective Trust (SACT) of New Jersey
New Jersey
$580K
JIC
514
Johnson Investment Counsel
Ohio
$576K -$26.8K -339 -4%
TCM
515
Teza Capital Management
Illinois
$569K +$682K +8,625 New
QT
516
Quantamental Technologies
New York
$568K +$681K +8,614 New
PTC
517
Philadelphia Trust Company
Pennsylvania
$567K -$20.1K -254 -3%
LIM
518
Lathrop Investment Management
Arkansas
$565K +$237 +3 +0%
NWM
519
Northwest Wealth Management
Iowa
$564K -$43.1K -545 -6%
ISWM
520
Independent Solutions Wealth Management
New York
$560K -$106K -1,345 -14%
VAM
521
Verity Asset Management
North Carolina
$554K +$664K +8,402 New
BPM
522
Bowling Portfolio Management
Ohio
$552K -$821K -10,388 -55%
AG
523
Ascent Group
Virginia
$552K -$319K -4,039 -33%
APA
524
American Portfolios Advisors
New York
$551K -$103K -1,305 -14%
V
525
Veritable
Delaware
$550K -$9.65K -122 -1%