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Vertex Pharmaceuticals

Name Holding Trade Value Shares
Change
Change in
Stake
B
501
Bensler
Washington
$3.88M +$87.1K +206 +2%
BCM
502
Barometer Capital Management
Ontario, Canada
$3.86M +$144K +340 +4%
PA
503
Pinnacle Associates
New York
$3.82M +$1.31M +3,090 +51%
GD
504
Grandfield & Dodd
New York
$3.81M +$54.5K +129 +1%
RBA
505
Richard Bernstein Advisors
New York
$3.78M
BWP
506
Baldwin Wealth Partners
Massachusetts
$3.75M -$80.3K -190 -2%
SCP
507
Shorepoint Capital Partners
Massachusetts
$3.75M -$68.5K -162 -2%
Parallax Volatility Advisers
508
Parallax Volatility Advisers
California
$3.75M +$292K +690 +8%
AHIA
509
Andrew Hill Investment Advisors
Florida
$3.73M -$1.41M -3,340 -27%
GAM
510
Griffin Asset Management
New York
$3.68M -$66.4K -157 -2%
LFP
511
Leeward Financial Partners
Washington
$3.63M +$53.7K +127 +1%
DCM
512
Decatur Capital Management
Georgia
$3.63M -$37.2K -88 -1%
JSL
513
JT Stratford LLC
Georgia
$3.62M +$891K +2,107 +32%
FT
514
Fiduciary Trust
Massachusetts
$3.6M +$579K +1,369 +19%
AG
515
Ascent Group
Virginia
$3.6M -$2.01M -4,759 -36%
JF
516
Jump Financial
Illinois
$3.6M -$9.31M -22,023 -72%
CAMG
517
CWA Asset Management Group
Florida
$3.58M +$2.87M +6,789 +380%
MFAM
518
Motley Fool Asset Management
Virginia
$3.56M +$392K +928 +12%
HFM
519
Harvest Fund Management
China
$3.56M +$2.2M +5,194 +156%
KRSITF
520
Kentucky Retirement Systems Insurance Trust Fund
Kentucky
$3.55M -$286K -676 -7%
CPBTD
521
Central Pacific Bank - Trust Division
Hawaii
$3.52M +$3.54M +8,376 New
ACM
522
Ashford Capital Management
Delaware
$3.51M -$404K -956 -10%
NL
523
NKCFO LLC
Illinois
$3.51M -$14.8K -35 -0.4%
BCI
524
Brinker Capital Investments
Pennsylvania
$3.51M -$686K -1,623 -16%
OPS
525
Orion Portfolio Solutions
Nebraska
$3.51M -$686K -1,623 -16%