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Vertex Pharmaceuticals

Name Holding Trade Value Shares
Change
Change in
Stake
LIA
326
LS Investment Advisors
Michigan
$705K -$23.3K -185 -3%
Daiwa Securities Group
327
Daiwa Securities Group
Japan
$691K
NPC
328
National Planning Corporation
California
$691K
PL
329
Parkwood LLC
Ohio
$670K
BTS
330
BB&T Securities
Virginia
$656K +$60.1K +477 +10%
KeyBank National Association
331
KeyBank National Association
Ohio
$652K -$442K -3,504 -40%
WSA
332
Wall Street Associates
California
$650K -$37.8K -300 -5%
EOJOAM
333
E. Ohman J:or Asset Management
Sweden
$642K
WC
334
Woodstock Corp
Massachusetts
$639K -$500K -3,965 -43%
VRS
335
Virginia Retirement Systems
Virginia
$623K +$4.54K +36 +0.7%
PAM
336
Paradigm Asset Management
New York
$617K
Commonwealth Equity Services
337
Commonwealth Equity Services
Massachusetts
$612K -$133K -1,052 -18%
TBA
338
Tower Bridge Advisors
Pennsylvania
$568K
GA
339
Geneva Advisors
Illinois
$557K -$11.9M -94,774 -95%
ACH
340
ArrowMark Colorado Holdings
Colorado
$555K +$566K +4,492 New
VF
341
Virtu Financial
New York
$550K +$562K +4,457 New
PAM
342
PartnerRe Asset Management
Connecticut
$544K -$90.6K -719 -14%
Fisher Asset Management
343
Fisher Asset Management
Washington
$541K -$1.01K -8 -0.2%
ZIM
344
Zacks Investment Management
Illinois
$541K +$552K +4,378 New
CRIG
345
Charter Research & Investment Group
Connecticut
$537K
Bank of Nova Scotia
346
Bank of Nova Scotia
Ontario, Canada
$534K +$16.1K +128 +3%
US Bancorp
347
US Bancorp
Minnesota
$530K +$91.7K +728 +20%
W
348
Wealthfront
California
$519K +$103K +819 +24%
PA
349
Pinnacle Associates
New York
$512K
AGM
350
Alpine Global Management
New York
$509K +$519K +4,121 New