We are live on ! Find out more
VRTX icon

Vertex Pharmaceuticals

Name Holding Trade Value Shares
Change
Change in
Stake
NG
426
NatWest Group
United Kingdom
– -$1.07M -15,145 Closed
ACM
427
Advent Capital Management
New York
– -$1.06M -15,000 Closed
NLI
428
Nippon Life Insurance
Japan
– -$967K -13,668 Closed
SFM
429
Soros Fund Management
New York
– -$707K -10,000 Closed
Brown Advisory
430
Brown Advisory
Maryland
– -$649K -9,181 Closed
Group One Trading
431
Group One Trading
Illinois
– -$643K -9,164 Closed
EMG
432
Ellington Management Group
Connecticut
– -$601K -8,500 Closed
DCM
433
Dynamic Capital Management
Jersey
– -$362K -5,115 Closed
QAM
434
Quantres Asset Management
Cayman Islands
– -$339K -4,800 Closed
VF
435
Virtu Financial
New York
– -$329K -4,659 Closed
QC
436
QCM Cayman
Texas
– -$296K -4,183 Closed
LI
437
LMCG Investments
Massachusetts
– -$285K -4,025 Closed
PAM
438
Princeton Alpha Management
New Jersey
– -$270K -3,822 Closed
SB
439
Suntrust Banks
Georgia
– -$267K -3,801 Closed
SIM
440
SSI Investment Management
California
– -$226K -3,190 Closed
WTNA
441
Wilmington Trust National Association
Delaware
– -$217K -3,079 Closed
PC
442
Passport Capital
California
– -$203K -2,872 Closed
AR
443
Advisory Research
Illinois
– -$61K -863 Closed
FCT
444
Family Capital Trust
Massachusetts
– -$34K -480 Closed
HR
445
Howe & Rusling
New York
– -$17.3K -247 -98%
AF
446
Arrow Financial
New York
– -$14K -195 Closed
WRM
447
Westport Resources Management
Connecticut
– -$5K -72 Closed
BBHC
448
Brown Brothers Harriman & Co
New York
– -$3K -48 Closed
KT
449
Kanaly Trust
Texas
– -$1K -14 Closed