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Name Holding Trade Value Shares
Change
Change in
Stake
Chevy Chase Trust
101
Chevy Chase Trust
Maryland
$243K
VOYA Investment Management
102
VOYA Investment Management
Georgia
$237K +$47 +1 +0%
MAM
103
Martingale Asset Management
Massachusetts
$232K +$235K +5,001 New
Squarepoint
104
Squarepoint
New York
$211K +$213K +4,533 New
Wells Fargo
105
Wells Fargo
California
$210K +$32.2K +685 +18%
Franklin Resources
106
Franklin Resources
California
$208K -$35.3K -751 -14%
ECM
107
EMC Capital Management
Texas
$182K
EC
108
EntryPoint Capital
New York
$167K +$169K +3,600 New
Zurich Cantonal Bank
109
Zurich Cantonal Bank
Switzerland
$167K +$84.9K +1,805 +101%
SAM
110
Shell Asset Management
Netherlands
$163K -$50K -1,062 -23%
TRCT
111
Tower Research Capital (TRC)
New York
$155K +$117K +2,476 +290%
Canada Life
112
Canada Life
Manitoba, Canada
$88K
SO
113
STRS Ohio
Ohio
$78K +$80K +1,700 New
A
114
AlphaQuest
New York
$65.2K +$66K +1,403 New
ACM
115
Aquatic Capital Management
Illinois
$56K +$32.9K +700 +140%
AIP
116
Ameritas Investment Partners
Nebraska
$55.4K +$9.74K +207 +21%
QT
117
Quantbot Technologies
New York
$52.2K +$52.9K +1,124 New
AB
118
Amalgamated Bank
New York
$47K -$5.55K -118 -10%
UBS Group
119
UBS Group
Switzerland
$45.2K +$5.22K +111 +13%
MLICM
120
Metropolitan Life Insurance Company (MetLife)
New York
$34.2K
CIA
121
Cape Investment Advisory
Georgia
$33.7K +$34.1K +725 New
IRC
122
Investors Research Corp
Georgia
$32.5K
Osaic Holdings
123
Osaic Holdings
Arizona
$27.9K -$12.8K -272 -31%
PNC Financial Services Group
124
PNC Financial Services Group
Pennsylvania
$20.7K -$1.41K -30 -6%
US Bancorp
125
US Bancorp
Minnesota
$19.8K +$1.18K +25 +6%