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10x Genomics

Name Holding Trade Value Shares
Change
Change in
Stake
ACM
151
ADAR1 Capital Management
Texas
$339K +$310K +15,000 New
Bank of Montreal
152
Bank of Montreal
Ontario, Canada
$330K +$301K +14,576 New
Vanguard Personalized Indexing Management
153
Vanguard Personalized Indexing Management
California
$314K +$288K +13,919 New
Verition Fund Management
154
Verition Fund Management
Connecticut
$313K +$59.7K +2,890 +26%
A
155
AlphaQuest
New York
$307K -$70.7K -3,421 -20%
CB
156
Commerce Bank
Missouri
$300K +$40.2K +1,946 +17%
NRD
157
Nebula Research & Development
New York
$295K +$270K +13,058 New
BC
158
Bridgefront Capital
Texas
$290K +$265K +12,834 New
P8IP
159
Pier 88 Investment Partners
California
$289K -$4.55K -220 -2%
Pictet Asset Management
160
Pictet Asset Management
Switzerland
$286K +$44K +2,130 +20%
Victory Capital Management
161
Victory Capital Management
Texas
$285K -$1.88K -91 -0.7%
ICP
162
Interchange Capital Partners
Pennsylvania
$285K +$261K +12,623 New
Sands Capital Management
163
Sands Capital Management
Virginia
$283K -$48M -2,322,359 -99%
Mariner
164
Mariner
Kansas
$281K -$22.9K -1,106 -8%
SEI Investments
165
SEI Investments
Pennsylvania
$281K -$358K -17,326 -58%
VI
166
Versor Investments
New York
$280K -$16.5K -800 -6%
PAS
167
Point72 Asia (Singapore)
Singapore
$273K +$250K +12,088 New
Wells Fargo
168
Wells Fargo
California
$269K +$45.4K +2,196 +23%
SA
169
Sanctuary Advisors
Indiana
$257K +$371K +17,959 New
X
170
Xponance
Pennsylvania
$235K +$4.13K +200 +2%
STA
171
Summit Trail Advisors
New York
$228K +$209K +10,086 New
BM
172
Brandywine Managers
Delaware
$227K
Walleye Capital
173
Walleye Capital
New York
$224K -$58.9K -2,848 -22%
Russell Investments Group
174
Russell Investments Group
United Kingdom
$223K -$2.84M -137,579 -93%
Truist Financial
175
Truist Financial
North Carolina
$222K -$12.8K -617 -6%