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Name Holding Trade Value Shares
Change
Change in
Stake
PM
1301
Platinum Management
New York
-$2.18M -40,800 Closed
AIM
1302
Artemis Investment Management
United Kingdom
-$1.8M -33,816 Closed
NI
1303
Numeric Investors
Massachusetts
-$1.45M -27,200 Closed
MF
1304
Magnetar Financial
Illinois
-$1.39M -26,120 Closed
Verition Fund Management
1305
Verition Fund Management
Connecticut
-$1.34M -25,180 Closed
Twin Tree Management
1306
Twin Tree Management
Texas
-$1.47M -24,432 Closed
JT
1307
Jump Trading
Illinois
-$1.26M -21,000 Closed
PSC
1308
Piper Sandler & Co
Minnesota
-$1.07M -20,000 Closed
LMAM
1309
Legg Mason Asset Management
Japan
-$1M -18,800 Closed
SH
1310
Scepter Holdings
Texas
-$939K -17,600 Closed
Two Sigma Advisers
1311
Two Sigma Advisers
New York
-$843K -15,812 Closed
SIM
1312
Spark Investment Management
New York
-$832K -15,600 Closed
SGH
1313
Schonfeld Group Holdings
New York
-$789K -14,788 Closed
PAM
1314
Princeton Alpha Management
New Jersey
-$762K -14,280 Closed
TSBJ
1315
Trevor, Stewart, Burton & Jacobsen
New York
-$668K -12,520 Closed
CM
1316
Churchill Management
California
-$638K -11,956 Closed
SIM
1317
SSI Investment Management
California
-$635K -11,892 Closed
PRA
1318
Parametric Risk Advisors
Connecticut
-$524K -9,828 Closed
CAMI
1319
Concord Asset Management (Illinois)
Illinois
-$347K -6,500 Closed
HCM
1320
Highbridge Capital Management
New York
-$347K -6,488 Closed
JRP
1321
Jasper Ridge Partners
California
-$315K -5,900 Closed
SCA
1322
Strategic Capital Alternatives
United States
-$272K -5,104 Closed
ST
1323
Spot Trading
Illinois
-$284K -4,712 Closed
HIC
1324
Hartline Investment Corp
Illinois
-$243K -4,552 Closed
CCC
1325
Chelsea Counsel Company
California
-$213K -4,000 Closed