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Vistance Networks Inc

Name Holding Trade Value Shares
Change
Change in
Stake
CC
301
Cipher Capital
New York
-$1.12M -29,561 Closed
Caisse de Depot et Placement du Quebec (CDPQ)
302
Caisse de Depot et Placement du Quebec (CDPQ)
Quebec, Canada
-$849K -22,400 Closed
QIM
303
Quantitative Investment Management
Virginia
-$794K -20,900 Closed
ACM
304
Advent Capital Management
New York
-$761K -20,000 Closed
HFS
305
HL Financial Services
Kentucky
-$442K -11,622 Closed
PP
306
Paloma Partners
Connecticut
-$425K -11,188 Closed
PM
307
Parametrica Management
Hong Kong
-$411K -10,819 Closed
CG
308
CFO4Life Group
Texas
-$400K -10,506 Closed
TFA
309
Toth Financial Advisory
Virginia
-$374K -9,835 Closed
GH
310
GAM Holding
Switzerland
-$361K -9,480 Closed
Tudor Investment Corp
311
Tudor Investment Corp
Connecticut
-$360K -9,472 Closed
CB
312
Commerce Bank
Missouri
-$332K -8,733 Closed
YIA
313
YHB Investment Advisors
Connecticut
-$290K -7,620 Closed
BBCM
314
Boardman Bay Capital Management
New York
-$232K -6,089 Closed
LNC
315
Lincoln National Corp
Pennsylvania
-$228K -6,000 Closed
EFSCE
316
Enterprise Financial Services Corp (EFSC)
Missouri
-$218K -5,740 Closed
AIG
317
American International Group
New York
-$167K -4,383 Closed
KF
318
Krilogy Financial
Missouri
-$121K -3,170 Closed
Parallax Volatility Advisers
319
Parallax Volatility Advisers
California
-$92.5K -2,707 Closed
MAM
320
Meeder Asset Management
Ohio
-$89K -2,335 Closed
VWA
321
V Wealth Advisors
Kansas
-$72K -1,900 Closed
Creative Planning
322
Creative Planning
Kansas
-$42K -1,109 Closed
Group One Trading
323
Group One Trading
Illinois
-$30.7K -899 Closed
BTIS
324
BB&T Investment Services
North Carolina
-$35K -770 Closed
PHK
325
Point72 Hong Kong
Hong Kong
-$27K -723 Closed