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Tyler Technologies

Name Holding Trade Value Shares
Change
Change in
Stake
Brown Advisory
176
Brown Advisory
Maryland
$480K -$8.45K -80 -2%
FIM
177
Freedom Investment Management
Connecticut
$476K +$26.6K +252 +6%
Nomura Holdings
178
Nomura Holdings
Japan
$456K -$275K -2,604 -38%
SEI Investments
179
SEI Investments
Pennsylvania
$430K +$414K +3,923 New
TA
180
Teton Advisors
New York
$416K – – –
RFC
181
Regions Financial Corp
Alabama
$407K +$23.7K +224 +6%
AIM
182
Allen Investment Management
New York
$397K +$383K +3,625 New
1GA
183
1st Global Advisors
Texas
$392K +$28.4K +269 +8%
HSBC Holdings
184
HSBC Holdings
United Kingdom
$390K -$49K -464 -12%
PAM
185
Princeton Alpha Management
New Jersey
$379K +$366K +3,462 New
FIM
186
Friedberg Investment Management
Texas
$372K – – –
AB
187
Amalgamated Bank
New York
$368K +$15.4K +146 +5%
HIM
188
Hillsdale Investment Management
Ontario, Canada
$361K +$349K +3,300 New
HC
189
Highmount Capital
New York
$358K – – –
Bank of America
190
Bank of America
North Carolina
$329K -$42.1K -399 -12%
FMBTD
191
First Midwest Bank Trust Division
Illinois
$287K +$12.7K +120 +5%
WAM
192
World Asset Management
Michigan
$287K +$14.8K +140 +6%
CCM
193
Coldstream Capital Management
Washington
$283K +$2.75K +26 +1%
Fifth Third Bancorp
194
Fifth Third Bancorp
Ohio
$280K – – –
Canada Life
195
Canada Life
Manitoba, Canada
$279K – – –
VKH
196
Virtu KCG Holdings
New York
$273K -$272K -2,576 -51%
NPIT
197
National Penn Investors Trust
Pennsylvania
$269K +$14.3K +135 +6%
JIC
198
Johnson Investment Counsel
Ohio
$261K – – –
DC
199
Deere & Company
Illinois
$256K – – –
ST
200
Spot Trading
Illinois
$254K +$245K +2,319 New