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Tyler Technologies

Name Holding Trade Value Shares
Change
Change in
Stake
Vontobel Holding
526
Vontobel Holding
Switzerland
$439K – – –
ASN
527
Advisory Services Network
Georgia
$431K +$55.3K +116 +14%
First Manhattan
528
First Manhattan
New York
$431K -$469K -985 -51%
BMSSC
529
B. Metzler seel. Sohn & Co
Germany
$429K – – –
PP
530
Prudential plc
United Kingdom
$421K -$2.32M -4,872 -84%
GIA
531
Gateway Investment Advisers
Ohio
$420K +$108K +226 +32%
CPCPP
532
Canada Post Corporation Pension Plan
Canada
$418K +$110K +230 +33%
HWAM
533
Hennion & Walsh Asset Management
New Jersey
$416K -$6.19K -13 -1%
Walleye Trading
534
Walleye Trading
New York
$415K +$435K +914 New
CG
535
Cynosure Group
Utah
$410K +$94.8K +199 +28%
IGAM
536
iA Global Asset Management
Quebec, Canada
$407K – – –
AAP
537
Arax Advisory Partners
Colorado
$406K -$938K -1,968 -69%
CCAL
538
City Center Advisors LLC
Michigan
$401K +$421K +884 New
AWM
539
AE Wealth Management
Kansas
$401K +$421K +884 New
VF
540
Virtu Financial
New York
$396K +$68.1K +143 +20%
RWB
541
RMR Wealth Builders
New Jersey
$395K -$1.91K -4 -0.5%
TRCT
542
Tower Research Capital (TRC)
New York
$390K +$67.6K +142 +20%
AA
543
Advisory Alpha
Michigan
$390K +$91.5K +192 +29%
TC
544
Truvestments Capital
Florida
$384K +$104K +219 +35%
AA
545
ALPS Advisors
Colorado
$383K +$4.29K +9 +1%
CCM
546
Coldstream Capital Management
Washington
$382K -$155K -326 -28%
FFA
547
Farther Finance Advisors
California
$377K +$69.1K +145 +21%
PDL
548
Portfolio Design Labs
California
$376K -$221K -464 -36%
SC
549
Syon Capital
California
$372K +$391K +820 New
PFBT
550
Parkside Financial Bank & Trust
Missouri
$369K +$15.7K +33 +4%