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Name Holding Trade Value Shares
Change
Change in
Stake
JP Morgan Chase
76
JP Morgan Chase
New York
$11.1M -$10.9M -260,279 -50%
EVM
77
Eaton Vance Management
Massachusetts
$11M +$1.52M +36,257 +17%
SEI Investments
78
SEI Investments
Pennsylvania
$10.8M +$1.67M +39,840 +19%
OC
79
Oppenheimer & Co
New York
$10.7M +$2.57M +61,377 +33%
LIM
80
Lagoda Investment Management
New York
$10.5M +$417K +9,980 +4%
MAM
81
Majedie Asset Management
United Kingdom
$9.54M -$2.96M -70,930 -24%
DCM
82
Driehaus Capital Management
Illinois
$9.44M
DAM
83
Deltec Asset Management
New York
$9.14M +$1.65M +39,581 +23%
California State Teachers Retirement System (CalSTRS)
84
California State Teachers Retirement System (CalSTRS)
California
$9.12M -$748K -17,898 -8%
MFWM
85
Motley Fool Wealth Management
Virginia
$8.57M -$126K -3,003 -1%
WMSA
86
Weiss Multi-Strategy Advisers
New York
$8.56M +$968K +23,152 +13%
New York State Teachers Retirement System (NYSTRS)
87
New York State Teachers Retirement System (NYSTRS)
New York
$8.53M -$161K -3,852 -2%
SM
88
Saya Management
New York
$8.47M +$3.01M +72,032 +58%
RAM
89
Redmond Asset Management
Virginia
$8.4M +$8.12M +194,277 New
EAM
90
Eventide Asset Management
Massachusetts
$8.37M -$7.39M -176,715 -48%
CAM
91
ClariVest Asset Management
California
$8.37M +$3.49M +83,480 +76%
State Board of Administration of Florida Retirement System
92
State Board of Administration of Florida Retirement System
Florida
$8.15M -$16.2K -387 -0.2%
TIM
93
Thornburg Investment Management
New Mexico
$7.97M -$5.6M -134,044 -42%
Twin Tree Management
94
Twin Tree Management
Texas
$7.8M +$5.54M +132,523 +277%
New York State Common Retirement Fund
95
New York State Common Retirement Fund
New York
$7.8M +$474K +11,335 +7%
CS
96
Credit Suisse
Switzerland
$7.39M -$233K -5,579 -3%
FSCM
97
First Sabrepoint Capital Management
Texas
$7.28M -$9.31M -222,802 -57%
ECA
98
Encompass Capital Advisors
New York
$7.28M +$7.04M +168,300 New
KMC
99
Kirr Marbach & Co
Indiana
$7.13M -$51.7K -1,237 -0.7%
BBHC
100
Brown Brothers Harriman & Co
New York
$7.1M