We are live on ! Find out more
UAL icon

United Airlines

Name Holding Trade Value Shares
Change
Change in
Stake
BG
26
BlackRock Group
United Kingdom
$137M -$11.1M -239,198 -8%
ACM
27
Altimeter Capital Management
Massachusetts
$134M +$14.7M +316,965 +12%
FCM
28
Frontier Capital Management
Massachusetts
$126M -$6.84M -147,416 -5%
OA
29
Omega Advisors
New York
$123M +$122M +2,626,874 New
CLM
30
ClearBridge LLC (Maryland)
Maryland
$113M -$8.29M -178,540 -7%
American Century Companies
31
American Century Companies
Missouri
$102M -$14M -300,813 -12%
AAMU
32
Amundi Asset Management US
Massachusetts
$101M +$44M +947,131 +78%
Boston Partners
33
Boston Partners
Massachusetts
$96.4M +$5.07M +109,221 +6%
Capital Research Global Investors
34
Capital Research Global Investors
California
$93.6M -$137M -2,951,600 -60%
Northern Trust
35
Northern Trust
Illinois
$89.4M +$438K +9,427 +0.5%
Geode Capital Management
36
Geode Capital Management
Massachusetts
$86M +$401K +8,648 +0.5%
SM
37
Seminole Management
New York
$82.1M +$70.7M +1,523,572 +659%
RFS
38
Rockefeller Financial Services
New York
$81.9M +$4.71M +101,452 +6%
KCM
39
Knighthead Capital Management
New York
$81.8M
MVP
40
Miller Value Partners
Florida
$81.8M +$2.72M +58,700 +3%
Morgan Stanley
41
Morgan Stanley
New York
$80.5M +$3.95M +85,208 +5%
DCLA
42
Douglas C. Lane & Associates
New York
$80.3M -$81.5K -1,756 -0.1%
BIM
43
BlackRock Investment Management
Delaware
$75.1M -$9.87M -212,567 -12%
CRAM
44
Claren Road Asset Management
New York
$66.7M
Westfield Capital Management
45
Westfield Capital Management
Massachusetts
$66.5M +$4.8M +103,327 +8%
Dimensional Fund Advisors
46
Dimensional Fund Advisors
Texas
$63.8M +$1.14M +24,665 +2%
California Public Employees Retirement System
47
California Public Employees Retirement System
California
$62.5M -$718K -15,470 -1%
U
48
UBS
Switzerland
$56.8M +$17.2M +371,401 +44%
Bank of New York Mellon
49
Bank of New York Mellon
New York
$55.9M -$4.87M -104,879 -8%
Susquehanna International Group
50
Susquehanna International Group
Pennsylvania
$52.7M -$17.5M -377,930 -25%