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VVC

Vectren Corporation
VVC

Delisted

VVC was delisted on the 31st of January, 2019.

Name Holding Trade Value Shares
Change
Change in
Stake
EAM
26
Edge Asset Management
Washington
$22.2M -$725K -16,054 -4%
NI
27
Numeric Investors
Massachusetts
$21.2M -$2.33M -51,600 -11%
DGHMC
28
Dalton, Greiner, Hartman, Maher & Co
New York
$19.6M -$174K -3,847 -1%
Robeco Institutional Asset Management
29
Robeco Institutional Asset Management
Netherlands
$18.6M -$524K -11,610 -3%
Ameriprise
30
Ameriprise
Minnesota
$18.2M -$4.58M -101,563 -22%
AL
31
AJO LP
Pennsylvania
$18.1M +$1.8M +39,967 +13%
Dimensional Fund Advisors
32
Dimensional Fund Advisors
Texas
$17.9M +$568K +12,577 +4%
VDI
33
Vaughan David Investments
Illinois
$17.2M -$66.5K -1,473 -0.4%
MAM
34
Martingale Asset Management
Massachusetts
$16.1M +$1.75M +38,829 +14%
HAI
35
Hennessy Advisors Inc
California
$15.7M -$542K -12,000 -4%
Charles Schwab
36
Charles Schwab
California
$14.3M +$540K +11,970 +4%
TCIM
37
TIAA CREF Investment Management
New York
$14.1M -$2.77M -61,478 -18%
California Public Employees Retirement System
38
California Public Employees Retirement System
California
$13.6M +$1.82M +40,300 +18%
Goldman Sachs
39
Goldman Sachs
New York
$13.1M -$614K -13,606 -5%
SOMRS
40
State of Michigan Retirement System
Michigan
$12.9M +$18.1K +400 +0.2%
DIA
41
Denver Investment Advisors
Colorado
$12.5M +$11.2M +247,835 New
USAA
42
United Services Automobile Association
Texas
$12.2M
BIM
43
BlackRock Investment Management
Delaware
$12.1M +$79.9K +1,771 +0.7%
Arrowstreet Capital
44
Arrowstreet Capital
Massachusetts
$12.1M +$10.8M +238,738 New
Allianz Asset Management
45
Allianz Asset Management
Germany
$10.9M -$24.9M -551,281 -72%
NFA
46
Nationwide Fund Advisors
Ohio
$10.4M +$995K +22,045 +12%
AP
47
AHL Partners
United Kingdom
$10.2M +$7.29M +161,596 +410%
JP Morgan Chase
48
JP Morgan Chase
New York
$9.75M +$1.58M +35,053 +22%
ONB
49
Old National Bancorp
Indiana
$9.73M -$560K -12,406 -6%
New York State Common Retirement Fund
50
New York State Common Retirement Fund
New York
$9.72M