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Vertex Pharmaceuticals

Name Holding Trade Value Shares
Change
Change in
Stake
FLAM
226
First Light Asset Management
Minnesota
$1.5M +$60.2K +859 +6%
WBC
227
Westpac Banking Corp
Australia
$1.48M -$8.98K -128 -0.8%
GP
228
GLG Partners
United Kingdom
$1.42M +$1.05M +15,000 New
PNC Financial Services Group
229
PNC Financial Services Group
Pennsylvania
$1.41M -$30.2K -430 -3%
Canada Pension Plan Investment Board
230
Canada Pension Plan Investment Board
Ontario, Canada
$1.37M -$4.19M -59,782 -81%
SIA
231
Sit Investment Associates
Minnesota
$1.34M
CLM
232
ClearBridge LLC (Maryland)
Maryland
$1.32M
AAM
233
Advisors Asset Management
Colorado
$1.32M +$538K +7,668 +123%
EA
234
Emerald Advisers
Pennsylvania
$1.29M +$959K +13,672 New
QIM
235
Quantitative Investment Management
Virginia
$1.28M -$519K -7,400 -35%
RFC
236
Regions Financial Corp
Alabama
$1.27M +$209K +2,986 +29%
CONA
237
Capital One National Association
New York
$1.23M -$182K -2,594 -17%
DILH
238
Dai-ichi Life Holdings
Japan
$1.23M +$37.8K +539 +4%
ZIM
239
Zacks Investment Management
Illinois
$1.17M +$864K +12,327 New
WC
240
Woodstock Corp
Massachusetts
$1.14M
Jane Street
241
Jane Street
New York
$1.04M -$70.8K -1,010 -8%
ST
242
Spot Trading
Illinois
$1.03M -$660K -9,407 -46%
Commonwealth Equity Services
243
Commonwealth Equity Services
Massachusetts
$991K +$177K +2,522 +32%
SIM
244
Sentry Investment Management
Wisconsin
$988K +$241K +3,435 +49%
CI
245
Constellation Investments
Ohio
$963K -$3.51K -50 -0.5%
SAM
246
Symphony Asset Management
California
$895K -$32.5K -464 -5%
JMPWA
247
JP Morgan Private Wealth Advisors
California
$875K +$95.1K +1,356 +17%
SCM
248
Stux Capital Management
New York
$871K -$126K -1,800 -16%
Toronto Dominion Bank
249
Toronto Dominion Bank
Ontario, Canada
$857K +$24K +342 +4%
NB
250
Norinchukin Bank
Japan
$834K -$66.1K -943 -10%