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VAR

Varian Medical Systems, Inc.
VAR

Delisted

VAR was delisted on the 14th of April, 2021.

Name Holding Trade Value Shares
Change
Change in
Stake
SP
26
Sarasin & Partners
United Kingdom
$65.6M -$12.2M -151,351 -15%
FMI
27
Fiduciary Management Inc
Wisconsin
$65.1M +$2.91M +35,991 +5%
OCBV
28
Ownership Capital B.V.
Netherlands
$63.1M -$3.82M -47,157 -6%
Legal & General Group
29
Legal & General Group
United Kingdom
$58.1M -$9.22M -113,895 -13%
Acadian Asset Management
30
Acadian Asset Management
Massachusetts
$55.5M +$837K +10,347 +1%
Swiss National Bank
31
Swiss National Bank
Switzerland
$51.5M +$1.11M +13,684 +2%
UBS AM
32
UBS AM
Illinois
$50.3M -$28.6M -353,693 -36%
Morgan Stanley
33
Morgan Stanley
New York
$50M +$5.54M +68,514 +12%
Russell Investments Group
34
Russell Investments Group
United Kingdom
$43.6M +$44.6M +551,032 New
SRIM
35
Saratoga Research & Investment Management
California
$42.5M -$1.47M -18,112 -3%
Goldman Sachs
36
Goldman Sachs
New York
$42.2M +$9.52M +117,619 +28%
Mitsubishi UFJ Trust & Banking
37
Mitsubishi UFJ Trust & Banking
Japan
$41.8M -$6.96M -85,977 -14%
Mackenzie Financial
38
Mackenzie Financial
Ontario, Canada
$41.4M -$993K -12,272 -2%
QI
39
QV Investors
Alberta, Canada
$41.1M -$1.97M -24,307 -4%
New York State Common Retirement Fund
40
New York State Common Retirement Fund
New York
$40.1M -$2.41M -29,764 -6%
GC
41
Guggenheim Capital
Illinois
$37.9M +$5.41M +66,890 +16%
USAA
42
United Services Automobile Association
Texas
$37.6M -$541K -6,692 -1%
MIH
43
Madison Investment Holdings
Wisconsin
$36.6M +$23.2K +287 +0.1%
ACA
44
Anchor Capital Advisors
Massachusetts
$36.2M -$2.45M -30,249 -6%
Charles Schwab
45
Charles Schwab
California
$36.1M +$2.27M +28,108 +7%
Natixis Advisors
46
Natixis Advisors
Massachusetts
$35.6M +$3.37M +41,626 +10%
CBOA
47
Commonwealth Bank of Australia
Australia
$33.8M +$4.58M +56,611 +15%
PPA
48
Parametric Portfolio Associates
Washington
$33.7M +$14.6M +180,708 +73%
Franklin Resources
49
Franklin Resources
California
$32.4M -$415K -5,132 -1%
Axa
50
Axa
France
$31.6M -$26.5M -327,762 -45%