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Vertex Pharmaceuticals

Name Holding Trade Value Shares
Change
Change in
Stake
EOJOAM
351
E. Ohman J:or Asset Management
Sweden
$334K -$90.5K -1,000 -19%
Brown Advisory
352
Brown Advisory
Maryland
$321K +$364K +4,028 New
V
353
Veritable
Delaware
$319K -$376K -4,152 -51%
OMCS
354
Old Mutual Customised Solutions
South Africa
$318K +$9.04K +100 +3%
VRS
355
Virginia Retirement System
Virginia
$317K +$360K +3,984 New
ED
356
Exane Derivatives
France
$317K +$298K +3,299 +482%
RJT
357
Raymond James Trust
Florida
$311K -$144K -1,589 -29%
ACH
358
ArrowMark Colorado Holdings
Colorado
$309K -$69.1K -764 -16%
GG
359
Gofen & Glossberg
Illinois
$286K +$8.23K +91 +3%
QIM
360
Quantitative Investment Management
Virginia
$286K +$326K +3,600 New
PSC
361
Prentiss Smith & Co
Vermont
$274K +$266K +2,945 +589%
HFS
362
HL Financial Services
Kentucky
$270K +$308K +3,400 New
JFG
363
Jefferies Financial Group
New York
$262K +$298K +3,300 New
CONA
364
Capital One National Association
New York
$261K -$202K -2,235 -40%
Nomura Holdings
365
Nomura Holdings
Japan
$260K +$95.3K +1,054 +47%
US Bancorp
366
US Bancorp
Minnesota
$256K -$125K -1,381 -30%
LNWWM
367
Laird Norton Wetherby Wealth Management
California
$256K -$27.7K -306 -9%
Victory Capital Management
368
Victory Capital Management
Texas
$256K -$7.69K -85 -3%
KeyBank National Association
369
KeyBank National Association
Ohio
$251K -$101K -1,118 -26%
FMA
370
FNY Managed Accounts
New York
$238K +$271K +3,000 New
WSTAM
371
Wilbanks Smith & Thomas Asset Management
Virginia
$227K
PPCM
372
Pillar Pacific Capital Management
California
$223K -$14K -155 -5%
CG
373
Cutler Group
California
$220K -$536K -5,931 -68%
PHK
374
Point72 Hong Kong
Hong Kong
$211K +$164K +1,812 +216%
PA
375
Pinnacle Associates
New York
$207K -$129K -1,426 -35%