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Vertex Pharmaceuticals

Name Holding Trade Value Shares
Change
Change in
Stake
CONA
326
Capital One National Association
New York
$695K -$33.2K -275 -5%
RJT
327
Raymond James Trust
Florida
$692K +$201K +1,667 +44%
ECM
328
Everence Capital Management
Indiana
$691K +$170K +1,410 +35%
PAG
329
Private Advisor Group
New Jersey
$686K +$43.8K +363 +7%
BTS
330
BB&T Securities
Virginia
$675K -$90.5K -750 -12%
Creative Planning
331
Creative Planning
Kansas
$671K +$235K +1,945 +57%
BUB
332
BBVA USA Bancshares
Texas
$660K +$105K +866 +20%
Janney Montgomery Scott
333
Janney Montgomery Scott
Pennsylvania
$656K +$226K +1,876 +56%
VRS
334
Virginia Retirement Systems
Virginia
$655K +$8.21K +68 +1%
EOJOAM
335
E. Ohman J:or Asset Management
Sweden
$654K
WC
336
Woodstock Corp
Massachusetts
$651K
CIM
337
CIM Investment Management
Pennsylvania
$649K -$624K -5,165 -50%
AG
338
Algert Global
California
$638K +$612K +5,070 New
ACH
339
ArrowMark Colorado Holdings
Colorado
$585K
US Bancorp
340
US Bancorp
Minnesota
$579K -$86.3K -715 -13%
TBA
341
Tower Bridge Advisors
Pennsylvania
$579K
Bank of Nova Scotia
342
Bank of Nova Scotia
Ontario, Canada
$571K +$1.21K +10 +0.2%
Westfield Capital Management
343
Westfield Capital Management
Massachusetts
$566K -$236M -1,957,104 -100%
ZIM
344
Zacks Investment Management
Illinois
$562K +$11.5K +95 +2%
ST
345
Spot Trading
Illinois
$557K -$384K -3,184 -42%
CRIG
346
Charter Research & Investment Group
Connecticut
$551K
KeyBank National Association
347
KeyBank National Association
Ohio
$538K -$230K -1,903 -31%
LTFS
348
Ladenburg Thalmann Financial Services
Florida
$538K +$184K +1,527 +55%
QT
349
Quantbot Technologies
New York
$530K -$546K -4,526 -52%
Connor, Clark & Lunn Investment Management (CC&L)
350
Connor, Clark & Lunn Investment Management (CC&L)
British Columbia, Canada
$528K -$616K -5,100 -55%