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Tyson Foods

Name Holding Trade Value Shares
Change
Change in
Stake
MGP
501
Metis Global Partners
California
$515K -$65.4K -1,053 -12%
PAM
502
Palisade Asset Management
Minnesota
$510K
CTC
503
Central Trust Company
Missouri
$509K -$1.8K -29 -0.4%
BFM
504
Boothbay Fund Management
New York
$500K -$61.9K -997 -11%
MSA
505
MUFG Securities Americas
New York
$500K +$11.2K +180 +2%
CAMG
506
CWA Asset Management Group
Florida
$499K -$14.2K -229 -3%
SLI
507
Sumitomo Life Insurance
Japan
$495K +$15.4K +248 +3%
RS
508
R Squared
Hong Kong
$494K -$302K -4,866 -39%
NDSI
509
Newman Dignan & Sheerar Inc
Rhode Island
$492K -$40.5K -652 -8%
EOJOAM
510
E. Ohman J:or Asset Management
Sweden
$492K
CM
511
CoreCommodity Management
Connecticut
$490K -$3.67M -59,083 -89%
SAM
512
Securian Asset Management
Minnesota
$487K -$6.21K -100 -1%
IRC
513
Investors Research Corp
Georgia
$482K -$33.6K -541 -7%
Squarepoint
514
Squarepoint
New York
$480K -$22.7M -365,793 -98%
LSA
515
Leonteq Securities AG
Switzerland
$476K -$50.1K -807 -10%
OL
516
Optas LLC
Texas
$473K -$1.74K -28 -0.4%
KRSITF
517
Kentucky Retirement Systems Insurance Trust Fund
Kentucky
$472K
OAM
518
Ostrum Asset Management
France
$471K +$6.71K +108 +1%
NWM
519
Northwest Wealth Management
Iowa
$471K +$39.9K +642 +10%
DWP
520
Daymark Wealth Partners
Ohio
$468K +$454K +7,304 New
Bessemer Group
521
Bessemer Group
New Jersey
$466K +$49.2K +792 +12%
NA
522
NewEdge Advisors
Louisiana
$462K +$31.4K +505 +8%
AC
523
AlphaCore Capital
California
$458K +$91K +1,465 +26%
UB
524
UMB Bank
Missouri
$457K -$62 -1 -0%
FMI
525
Frec Markets Inc
California
$454K +$440K +7,086 New