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Vertex Pharmaceuticals

Name Holding Trade Value Shares
Change
Change in
Stake
BTS
326
BB&T Securities
Virginia
$637K +$103K +802 +15%
NPC
327
National Planning Corporation
California
$635K +$128 +1 +0%
HMS
328
Hanseatic Management Services
New Mexico
$625K +$771K +6,000 New
CC
329
ClearArc Capital
Ohio
$621K -$9.76K -76 -1%
CI
330
Conning Inc
Connecticut
$618K -$74.5K -580 -9%
PCM
331
Prelude Capital Management
New York
$613K -$26K -202 -3%
CONA
332
Capital One National Association
New York
$603K -$75.9K -591 -9%
LIA
333
LS Investment Advisors
Michigan
$597K +$2.83K +22 +0.4%
Daiwa Securities Group
334
Daiwa Securities Group
Japan
$583K
US Bancorp
335
US Bancorp
Minnesota
$554K +$132K +1,026 +24%
Commonwealth Equity Services
336
Commonwealth Equity Services
Massachusetts
$548K +$39.2K +305 +6%
EOJOAM
337
E. Ohman J:or Asset Management
Sweden
$542K
WC
338
Woodstock Corp
Massachusetts
$539K
PAM
339
Princeton Alpha Management
New Jersey
$539K +$324K +2,523 +95%
VRS
340
Virginia Retirement Systems
Virginia
$535K +$11.2K +87 +2%
PAG
341
Private Advisor Group
New Jersey
$530K -$150K -1,166 -19%
Fisher Asset Management
342
Fisher Asset Management
Washington
$513K +$70.7K +550 +13%
ACH
343
ArrowMark Colorado Holdings
Colorado
$484K +$20.3K +158 +4%
TBA
344
Tower Bridge Advisors
Pennsylvania
$479K
FIM
345
Freedom Investment Management
Connecticut
$476K -$1.21M -9,409 -63%
Bank of Nova Scotia
346
Bank of Nova Scotia
Ontario, Canada
$471K +$25.7K +200 +5%
Los Angeles Capital Management
347
Los Angeles Capital Management
California
$462K -$41.8M -325,129 -99%
PAM
348
PartnerRe Asset Management
Connecticut
$461K +$3.21K +25 +0.6%
BUB
349
BBVA USA Bancshares
Texas
$457K +$126K +977 +29%
CRIG
350
Charter Research & Investment Group
Connecticut
$456K +$3.21K +25 +0.6%