We are live on ! Find out more
WDC icon

Western Digital

Name Holding Trade Value Shares
Change
Change in
Stake
Vanguard Fiduciary Trust
26
Vanguard Fiduciary Trust
Pennsylvania
$1.26B +$34.4M +70,806 +4%
D.E. Shaw & Co
27
D.E. Shaw & Co
New York
$1.21B -$382M -786,443 -29%
Amundi
28
Amundi
France
$1.16B -$605M -1,244,834 -41%
Capital International Investors
29
Capital International Investors
California
$1.15B +$877M +1,803,588 New
ETC
30
Exchange Traded Concepts
Oklahoma
$1.14B +$845M +1,738,509 +3,399%
WCM Investment Management
31
WCM Investment Management
California
$1.06B -$2.4B -4,929,689 -75%
Bank of Montreal
32
Bank of Montreal
Ontario, Canada
$1.04B +$112M +229,633 +16%
BNP Paribas Financial Markets
33
BNP Paribas Financial Markets
France
$954M +$148M +304,637 +26%
AC
34
Anther Capital
$902M +$340M +699,180 +98%
Deutsche Bank
35
Deutsche Bank
Germany
$886M -$236M -486,328 -26%
National Pension Service
36
National Pension Service
South Korea
$882M -$27.7M -57,060 -4%
MRCP
37
Maple Rock Capital Partners
Ontario, Canada
$867M -$20.7M -42,600 -3%
Royal Bank of Canada
38
Royal Bank of Canada
Ontario, Canada
$838M +$19.9M +40,957 +3%
UBS Group
39
UBS Group
Switzerland
$804M -$1.42B -2,923,969 -70%
HSBC Holdings
40
HSBC Holdings
United Kingdom
$753M -$178M -366,388 -24%
Jane Street
41
Jane Street
New York
$672M +$495M +1,017,740 +2,949%
Citigroup
42
Citigroup
New York
$643M +$211M +434,507 +76%
VARA
43
Value Aligned Research Advisors
New Jersey
$631M -$149M -307,010 -24%
TA
44
Trivest Advisors
Hong Kong
$628M +$310M +637,600 +185%
Swiss National Bank
45
Swiss National Bank
Switzerland
$623M -$13.3M -27,320 -3%
Qube Research & Technologies (QRT)
46
Qube Research & Technologies (QRT)
United Kingdom
$585M +$445M +915,929 New
National Bank of Canada
47
National Bank of Canada
Quebec, Canada
$581M +$231M +474,815 +109%
CHP
48
Castle Hook Partners
New York
$577M +$11.9M +24,435 +3%
Mitsubishi UFJ Asset Management
49
Mitsubishi UFJ Asset Management
Japan
$559M +$38.2M +78,599 +10%
Wells Fargo
50
Wells Fargo
California
$551M -$78.3M -161,100 -16%