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VISN

Vistance Networks Inc

Name Holding Trade Value Shares
Change
Change in
Stake
V
201
Veritable
Delaware
$676K -$148K -4,340 -19%
AIM
202
Anchor Investment Management
South Carolina
$660K +$59.1K +1,735 +11%
LPL Financial
203
LPL Financial
California
$616K +$572K +16,789 New
SAM
204
SignalPoint Asset Management
Missouri
$606K +$8.38K +246 +2%
JG
205
Jefferies Group
New York
$597K +$251K +7,354 +85%
NCIM
206
New Century Investment Management
Michigan
$594K -$10.7K -315 -2%
Teacher Retirement System of Texas
207
Teacher Retirement System of Texas
Texas
$577K -$67K -1,966 -11%
DM
208
Delphi Management
Massachusetts
$536K +$491K +14,409 New
Simplex Trading
209
Simplex Trading
Illinois
$534K +$316K +9,266 +182%
AAM
210
Advisors Asset Management
Colorado
$533K +$343K +10,075 +237%
PIM
211
Partner Investment Management
California
$529K -$279K -8,173 -37%
TC
212
TFS Capital
Pennsylvania
$528K +$484K +14,186 New
GT
213
Glenmede Trust
Pennsylvania
$502K -$55K -1,614 -11%
FRM
214
Fox Run Management
Connecticut
$495K +$453K +13,300 New
VKH
215
Virtu KCG Holdings
New York
$462K -$276K -8,093 -39%
PHK
216
Point72 Hong Kong
Hong Kong
$454K +$416K +12,193 New
SCM
217
Sandler Capital Management
New York
$446K +$109K +3,200 +36%
SCM
218
Silver Capital Management
New York
$430K +$393K +11,540 New
CEP
219
Chicago Equity Partners
Illinois
$428K
CG
220
Cutler Group
California
$419K +$381K +11,181 +11,647%
SFS
221
Sowell Financial Services
Arkansas
$414K +$362K +10,631 New
P
222
Pitcairn
Pennsylvania
$407K +$1.98K +58 +0.5%
HSBC Holdings
223
HSBC Holdings
United Kingdom
$403K -$24.6K -723 -6%
GCP
224
GSA Capital Partners
United Kingdom
$382K -$8.29M -243,164 -96%
IRF
225
IBM Retirement Fund
New York
$382K -$62.5K -1,833 -15%