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WES

Western Gas Partners Lp

Delisted

WES was delisted on the 27th of February, 2019.

Name Holding Trade Value Shares
Change
Change in
Stake
DPIM
26
Duff & Phelps Investment Management
Illinois
$32M -$2.12M -30,000 -6%
Bank of America
27
Bank of America
North Carolina
$25M -$795K -11,276 -3%
MLICM
28
Metropolitan Life Insurance Company (MetLife)
New York
$22.3M +$6.35M +90,000 +42%
HighTower Advisors
29
HighTower Advisors
Illinois
$19.9M +$374K +5,299 +2%
FWIA
30
Fort Washington Investment Advisors
Ohio
$19.8M -$353K -5,000 -2%
M&T Bank
31
M&T Bank
New York
$15.1M +$827K +11,732 +6%
MSA
32
Mason Street Advisors
Wisconsin
$14.6M +$10.6M +150,000 +300%
California Public Employees Retirement System
33
California Public Employees Retirement System
California
$13.6M +$1.35M +19,100 +11%
Deutsche Bank
34
Deutsche Bank
Germany
$13.6M -$86.2M -1,222,142 -87%
Balyasny Asset Management
35
Balyasny Asset Management
Illinois
$13.4M +$7.15M +101,356 +123%
CVSCT
36
C.V. Starr & Co Trust
New York
$13.1M
SCA
37
Salient Capital Advisors
Texas
$11.4M +$132K +1,867 +1%
Northern Trust
38
Northern Trust
Illinois
$11.4M +$3.47M +49,257 +46%
PNC Financial Services Group
39
PNC Financial Services Group
Pennsylvania
$11.4M +$110K +1,555 +1%
COPPSERS
40
Commonwealth of Pennsylvania Public School Employees Retirement System
Pennsylvania
$11.1M +$10.7M +151,923 New
SAM
41
Silvercrest Asset Management
New York
$11M +$476K +6,750 +5%
TT
42
Tiedemann Trust
Delaware
$10.8M +$4.04M +57,283 +63%
Toronto Dominion Bank
43
Toronto Dominion Bank
Ontario, Canada
$10.4M +$10M +142,000 New
HM
44
Heronetta Management
New York
$10.3M +$70.5K +1,000 +0.7%
GT
45
Glenmede Trust
Pennsylvania
$8.84M +$556K +7,892 +7%
SIC
46
Starr International Company
Switzerland
$8.8M
TAM
47
TPH Asset Management
Texas
$8.67M +$5.53M +78,469 +195%
CIMLRA
48
CBRE Investment Management Listed Real Assets
Pennsylvania
$8.63M +$8.33M +118,100 New
TYCC
49
Texas Yale Capital Corp
Florida
$8.5M +$49.4K +700 +0.6%
William Blair & Company
50
William Blair & Company
Illinois
$8.4M -$136K -1,935 -2%