Institutional 13F Filings

Quarterly position changes from hedge funds and institutional investors.

Mercer Global Advisors Increases Stake in Agilent Technologies

Mercer Global Advisors raised its holdings in Agilent Technologies by 23.4%, adding 14,192 shares.

$A

Loomis Sayles Reduces Stake in Alkermes plc

Loomis Sayles trimmed its Alkermes position by 6.2%, now holding 1.78 million shares.

$ALKS

Mackenzie Financial Boosts Stake in DuPont by 106.7%

Mackenzie Financial significantly increased its investment in DuPont, reflecting a strong interest in the specialty chemicals sector.

$DD

SG Americas Securities Increases Arch Capital Group Position by 70%

SG Americas Securities significantly increased its stake in Arch Capital Group, adding over 200,000 shares.

$ACGL

Cetera Investment Advisers Reduces Ameriprise Financial Stake

Cetera Investment Advisers trims its Ameriprise Financial holdings by 23.7% in recent SEC filing.

$AMP

Vanguard Asset Management Opens New Position in Colgate-Palmolive

Vanguard Asset Management has initiated a stake in Colgate-Palmolive, acquiring 1.6 million shares.

$CL

TD Asset Management Reduces Stake in EMCOR Group

TD Asset Management trimmed its position in EMCOR Group by 4.95%, holding 273,587 shares as of the latest filing.

$EME

FIL Reduces Stake in ERO by Over 1.2 Million Shares

FIL trimmed its position in ERO by 10.3%, now holding over 10.4 million shares.

$ERO

Principal Financial Group Reduces Stake in Ascendis Pharma A/S

Principal Financial Group cut its position in Ascendis Pharma A/S by 12.7%, selling 130,010 shares.

$ASND

AQR Capital Management Increases Stake in Ball Corporation

AQR Capital Management significantly increased its investment in Ball Corporation, adding nearly 1.9 million shares.

$BALL

Millennium Management Trims Stake in Assurant, Inc. (AIZ)

Millennium Management reduced its stake in Assurant, Inc. by 19.4%, according to its latest 13F filing.

$AIZ

Alliancebernstein Boosts Stake in BWX Technologies

Alliancebernstein increased its BWX Technologies position by 2.8%, adding 15,931 shares.

$BWXT

Vanguard Fiduciary Trust Opens New Position in AIG

Vanguard Fiduciary Trust acquired over 3 million shares of AIG, marking a significant new investment.

$AIG

Dimensional Fund Advisors Increases Stake in AXIS Capital Holdings

Dimensional Fund Advisors raised its position in AXIS Capital Holdings by 8.9%, adding nearly 300,000 shares.

$AXS

Goldman Sachs Reduces Stake in ASE Technology

Goldman Sachs trimmed its position in ASE Technology by 3%, now holding 5.8 million shares.

$ASX

Vanguard Capital Management Takes New Position in Arch Capital Group

Vanguard Capital Management opens a new stake in Arch Capital Group, acquiring over 22 million shares.

$ACGL

Rtw Investments Takes New Position in Definium Therapeutics

Rtw Investments has acquired 300,000 shares of Definium Therapeutics, valued at $11 million.

$DFTX

Intech Investment Management Significantly Boosts Stake in ATI Inc.

Intech Investment Management increased its stake in ATI Inc. by 1,079%, reflecting confidence in the company.

$ATI

Exoduspoint Capital Takes New Position in Cogent Biosciences

Exoduspoint Capital Management has initiated a new stake in Cogent Biosciences, Inc. with 372,175 shares.

$COGT

Gabelli Funds Trims Its Stake in AZZ

Gabelli Funds decreased its investment in AZZ by 18.4%, selling 37,608 shares.

$AZZ

Caption Management Boosts Stake in Federal Agricultural Mortgage

Caption Management increased its holdings in Federal Agricultural Mortgage by 32.9%, adding 3,290 shares.

$AGM

Farallon Capital Significantly Increases Stake in CG Oncology

Farallon Capital Management boosted its position in CG Oncology by 8325%, adding 666,000 shares.

$CGON

Sequoia Financial Advisors Boosts Stake in ASE Technology

Sequoia Financial Advisors increased its holdings in ASE Technology, adding 2,525 shares.

$ASX

Fort Washington Investment Advisors Increases Stake in KLA Corporation

Fort Washington boosted its KLA Corp holdings by 24,790 shares, now valued at $140.4 million.

$KLAC