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Name Holding Trade Value Shares
Change
Change in
Stake
KC
1326
KCL Capital
New York
-$20.6M -650,000 Closed
Walleye Trading
1327
Walleye Trading
New York
-$22.6M -609,263 Closed
CIM
1328
Chiron Investment Management
New York
-$19.2M -605,996 Closed
ACM
1329
Aquatic Capital Management
Illinois
-$16.1M -509,400 Closed
ARAM
1330
Ardmore Road Asset Management
New York
-$11.1M -350,000 Closed
BCPEMI
1331
Bain Capital Public Equity Management II
Massachusetts
-$9.92M -312,780 Closed
TPA
1332
Trivium Point Advisory
Connecticut
-$9.04M -285,049 Closed
FDC
1333
Flight Deck Capital
California
-$8.27M -261,000 Closed
BTP
1334
Bloom Tree Partners
New York
-$7.36M -232,296 Closed
CTC (Chicago Trading Company)
1335
CTC (Chicago Trading Company)
Illinois
-$8.53M -229,522 Closed
AF
1336
Ally Financial
Michigan
-$6.72M -212,000 Closed
FC
1337
Franchise Capital
Cayman Islands
-$4.5M -141,950 Closed
KIA
1338
Knollwood Investment Advisory
Maryland
-$3.86M -121,647 Closed
SC
1339
Shellback Capital
Massachusetts
-$3.17M -100,000 Closed
MC
1340
Mount Capital
United Kingdom
-$2.2M -69,404 Closed
PI
1341
PEAK6 Investments
Illinois
-$2.55M -68,538 Closed
6C
1342
6elm Capital
New York
-$2.08M -65,711 Closed
LIP
1343
Lighthouse Investment Partners
Florida
-$2.06M -65,000 Closed
PRC
1344
Pearl River Capital
Michigan
-$2.01M -63,471 Closed
SEC
1345
Seven Eight Capital
New York
-$1.88M -59,334 Closed
BCPE
1346
Bain Capital Public Equity
Massachusetts
-$1.76M -55,522 Closed
RAM
1347
Readystate Asset Management
Illinois
-$1.66M -52,320 Closed
TIM
1348
Timelo Investment Management
Ontario, Canada
-$1.58M -50,000 Closed
QOP
1349
Quinn Opportunity Partners
Virginia
-$1.52M -48,000 Closed
QT
1350
Quantamental Technologies
New York
-$1.48M -46,684 Closed