We are live on ! Find out more
VRTX icon

Vertex Pharmaceuticals

Name Holding Trade Value Shares
Change
Change in
Stake
P
476
Pitcairn
Pennsylvania
$303K -$452 -3 -0.2%
PM
477
Parametrica Management
Hong Kong
$297K +$294K +1,954 New
PPSG
478
Princeton Portfolio Strategies Group
New Jersey
$293K – – –
EMG
479
Ellington Management Group
Connecticut
$289K -$602K -4,000 -68%
BAM
480
Berkshire Asset Management
Pennsylvania
$287K +$3.91K +26 +1%
SLF
481
Sun Life Financial
Ontario, Canada
$281K +$7.98K +53 +3%
AGM
482
Alpine Global Management
New York
$279K +$276K +1,835 New
BP
483
Ballentine Partners
Massachusetts
$277K -$452 -3 -0.2%
PP
484
Prudential plc
United Kingdom
$276K +$273K +1,813 New
TG
485
TLP Group
Illinois
$276K +$273K +1,816 New
RCM
486
RNC Capital Management
California
$265K -$186K -1,235 -41%
GT
487
Glenmede Trust
Pennsylvania
$265K +$14.9K +99 +6%
CB
488
Commerce Bank
Missouri
$259K +$15.1K +100 +6%
WAM
489
Weiss Asset Management
Massachusetts
$253K +$250K +1,663 New
CC
490
Cannell & Co
New York
$241K – – –
KFS
491
Kurt F. Somerville
$235K +$233K +1,548 New
SPIA
492
Steward Partners Investment Advisory
New York
$231K +$30.3K +201 +15%
QT
493
Quantbot Technologies
New York
$228K -$803K -5,335 -78%
CAN
494
Cetera Advisor Networks
California
$222K -$17.3K -115 -7%
FTIOP
495
Fiduciary Trust International of Pennsylvania
Pennsylvania
$220K +$217K +1,445 New
FMLI
496
Fukoku Mutual Life Insurance
Japan
$213K -$15.1K -100 -7%
IIM
497
Intact Investment Management
Quebec, Canada
$213K +$211K +1,400 New
TAM
498
Tocqueville Asset Management
New York
$209K -$30.1K -200 -13%
PL
499
Parkwood LLC
Ohio
$201K -$175K -1,163 -47%
MFW
500
Mosaic Family Wealth
Missouri
$198K +$6.17K +41 +3%