We are live on ! Find out more
VRTX icon

Vertex Pharmaceuticals

Name Holding Trade Value Shares
Change
Change in
Stake
GT
551
Glenview Trust
Kentucky
$3.12M -$4.66K -10 -0.1%
CTC
552
Central Trust Company
Missouri
$3.11M -$187K -400 -5%
VAS
553
Vestmark Advisory Solutions
Massachusetts
$3.11M -$403K -865 -11%
MAM
554
Montchanin Asset Management
Delaware
$3.1M +$3.23M +6,932 New
SAM
555
Securian Asset Management
Minnesota
$3.08M
NSAM
556
North Star Asset Management
Wisconsin
$3.06M
ABC
557
Associated Banc-Corp
Wisconsin
$3.04M -$61.6K -132 -2%
KRSITF
558
Kentucky Retirement Systems Insurance Trust Fund
Kentucky
$3.02M
BJL
559
Brighton Jones LLC
Washington
$3.02M +$3.15M +6,756 New
Squarepoint
560
Squarepoint
New York
$3.02M -$178M -382,268 -98%
VCM
561
Vision Capital Management
Oregon
$2.99M +$48.5K +104 +2%
MPWS
562
McCarter Private Wealth Services
Massachusetts
$2.98M +$206K +442 +7%
AFG
563
Atomi Financial Group
New York
$2.98M +$58.3K +125 +2%
LIM
564
Leavell Investment Management
Alabama
$2.97M +$6.99K +15 +0.2%
GIS
565
Graphene Investments SAS
France
$2.95M -$420K -900 -12%
GI
566
GAMMA Investing
California
$2.94M +$409K +878 +15%
CW
567
Channel Wealth
California
$2.94M -$8.39K -18 -0.3%
PS
568
Principal Securities
Iowa
$2.94M +$121K +259 +4%
CCM
569
Coldstream Capital Management
Washington
$2.92M +$249K +535 +9%
FM
570
Freemont Management
Switzerland
$2.9M -$326K -700 -10%
CPCPP
571
Canada Post Corporation Pension Plan
Canada
$2.89M
BWG
572
Boomfish Wealth Group
Georgia
$2.89M +$24.7K +53 +0.8%
CCM
573
Condor Capital Management
New Jersey
$2.89M -$12.1K -26 -0.4%
PWM
574
Perigon Wealth Management
California
$2.88M +$191K +410 +7%
TSW
575
Thompson Siegel & Walmsley
Virginia
$2.87M -$122K -261 -4%