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VISN

Vistance Networks Inc

Name Holding Trade Value Shares
Change
Change in
Stake
Marshall Wace
126
Marshall Wace
United Kingdom
$712K -$28.8M -945,949 -98%
T. Rowe Price Associates
127
T. Rowe Price Associates
Maryland
$677K
CHAM
128
Clear Harbor Asset Management
Connecticut
$650K -$13.2K -433 -2%
V
129
Veritable
Delaware
$628K +$181K +5,964 +41%
Principal Financial Group
130
Principal Financial Group
Iowa
$626K +$624K +20,531 New
NIT
131
NumerixS Investment Technologies
British Columbia, Canada
$625K -$100K -3,300 -14%
AP
132
AHL Partners
United Kingdom
$601K +$599K +19,700 New
FMT
133
First Mercantile Trust
Tennessee
$577K -$328K -10,800 -36%
URS
134
Utah Retirement Systems
Utah
$567K +$228K +7,500 +68%
NCCM
135
Nine Chapters Capital Management
New Jersey
$564K +$563K +18,500 New
SEI Investments
136
SEI Investments
Pennsylvania
$551K -$163K -5,358 -23%
GT
137
Glenmede Trust
Pennsylvania
$507K +$103K +3,400 +26%
Verition Fund Management
138
Verition Fund Management
Connecticut
$501K +$499K +16,417 New
ACI
139
Advance Capital I
Michigan
$500K -$645K -21,200 -56%
P
140
Pitcairn
Pennsylvania
$478K -$5.29K -174 -1%
BA
141
BlackRock Advisors
Delaware
$466K +$12.3K +405 +3%
PP
142
Paloma Partners
Connecticut
$449K -$165K -5,413 -27%
AIM
143
Ada Investment Management
New York
$436K +$434K +14,278 New
NV
144
Nair Vinay
$436K +$434K +14,278 New
HSBC Holdings
145
HSBC Holdings
United Kingdom
$408K +$406K +13,366 New
BlackRock
146
BlackRock
New York
$382K -$31K -1,021 -8%
AB
147
Amalgamated Bank
New York
$364K +$149K +4,896 +69%
Legal & General Group
148
Legal & General Group
United Kingdom
$354K +$50.4K +1,656 +17%
CG
149
Clinton Group
New York
$351K -$1.1M -36,235 -76%
Canada Life
150
Canada Life
Manitoba, Canada
$348K +$116K +3,818 +50%