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Boot Barn Holdings, Inc. $BOOT Holdings Trimmed by UBS AM a distinct business unit of UBS ASSET MANAGEMENT AMERICAS LLC

UBS AM a distinct business unit of UBS ASSET MANAGEMENT AMERICAS LLC decreased its holdings in Boot Barn Holdings, Inc. (NYSE:BOOT - Free Report) by 15.3% during the second quarter, according to its most recent filing with the Securities and Exchange Commission (SEC). The firm owned 53,879 shares o

NYSE:BOOT
Read Boot Barn Holdings, Inc. $BOOT Holdings Trimmed by UBS AM a distinct business unit of UBS ASSET MANAGEMENT AMERICAS LLC
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UBS AM a distinct business unit of UBS ASSET MANAGEMENT AMERICAS LLC Purchases 106,091 Shares of AbbVie Inc. $ABBV

UBS AM a distinct business unit of UBS ASSET MANAGEMENT AMERICAS LLC grew its position in shares of AbbVie Inc. (NYSE:ABBV - Free Report) by 0.7% during the 2nd quarter, according to its most recent 13F filing with the Securities and Exchange Commission. The fund owned 14,267,697 shares of the comp

NYSE:ABBV
Read UBS AM a distinct business unit of UBS ASSET MANAGEMENT AMERICAS LLC Purchases 106,091 Shares of AbbVie Inc. $ABBV
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Washington Trust Bank Sells 5,155 Shares of AbbVie Inc. $ABBV

Washington Trust Bank lessened its holdings in shares of AbbVie Inc. (NYSE:ABBV - Free Report) by 41.4% in the 2nd quarter, according to its most recent filing with the SEC. The fund owned 7,304 shares of the company's stock after selling 5,155 shares during the period. Washington Trust Bank's hold

NYSE:ABBV
Read Washington Trust Bank Sells 5,155 Shares of AbbVie Inc. $ABBV
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Royal London Asset Management Ltd. Reduces Stake in AbbVie Inc. $ABBV

Royal London Asset Management Ltd. decreased its holdings in shares of AbbVie Inc. (NYSE:ABBV - Free Report) by 0.7% in the 2nd quarter, according to the company in its most recent Form 13F filing with the Securities & Exchange Commission. The fund owned 1,342,483 shares of the company's stock

NYSE:ABBV
Read Royal London Asset Management Ltd. Reduces Stake in AbbVie Inc. $ABBV
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Micron Technology, Inc. $MU is Royal London Asset Management Ltd.'s 8th Largest Position

Royal London Asset Management Ltd. decreased its position in shares of Micron Technology, Inc. (NASDAQ:MU - Free Report) by 8.1% during the second quarter, according to the company in its most recent filing with the Securities and Exchange Commission. The firm owned 895,924 shares of the semiconduc

NASDAQ:MU
Read Micron Technology, Inc. $MU is Royal London Asset Management Ltd.'s 8th Largest Position
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Van ECK Associates Corp Sells 1,608,399 Shares of Micron Technology, Inc. $MU

Van ECK Associates Corp lessened its position in Micron Technology, Inc. (NASDAQ:MU - Free Report) by 25.0% in the 2nd quarter, according to the company in its most recent filing with the SEC. The institutional investor owned 4,815,648 shares of the semiconductor manufacturer's stock after selling

NASDAQ:MU
Read Van ECK Associates Corp Sells 1,608,399 Shares of Micron Technology, Inc. $MU

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SPX Gestao de Recursos Ltda Invests $1.50 Million in Costco Wholesale Corporation $COST

NASDAQ:COST
Read SPX Gestao de Recursos Ltda Invests $1.50 Million in Costco Wholesale Corporation $COST
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Wellington Management Group LLP Acquires 37,868 Shares of DT Midstream, Inc. $DTM

NYSE:DTM
Read Wellington Management Group LLP Acquires 37,868 Shares of DT Midstream, Inc. $DTM
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Wellington Management Group LLP Increases Holdings in Interface, Inc. $TILE

NASDAQ:TILE
Read Wellington Management Group LLP Increases Holdings in Interface, Inc. $TILE
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Wellington Management Group LLP Takes Position in First Bancorp $FBNC

NASDAQ:FBNC
Read Wellington Management Group LLP Takes Position in First Bancorp $FBNC
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Wellington Management Group LLP Increases Stake in Atour Lifestyle Holdings Limited Sponsored ADR $ATAT

NASDAQ:ATAT
Read Wellington Management Group LLP Increases Stake in Atour Lifestyle Holdings Limited Sponsored ADR $ATAT
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Wellington Management Group LLP Sells 799,031 Shares of IonQ, Inc. $IONQ

NYSE:IONQ
Read Wellington Management Group LLP Sells 799,031 Shares of IonQ, Inc. $IONQ
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Wellington Management Group LLP Decreases Stock Holdings in Maximus, Inc. $MMS

NYSE:MMS
Read Wellington Management Group LLP Decreases Stock Holdings in Maximus, Inc. $MMS
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Wellington Management Group LLP Invests $11.67 Million in Blue Owl Technology Finance Corp. $OTF

NYSE:OTF
Read Wellington Management Group LLP Invests $11.67 Million in Blue Owl Technology Finance Corp. $OTF
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Wellington Management Group LLP Sells 172,748 Shares of Nucor Corporation $NUE

NYSE:NUE
Read Wellington Management Group LLP Sells 172,748 Shares of Nucor Corporation $NUE
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Wellington Management Group LLP Takes $11.77 Million Position in Franco-Nevada Corporation $FNV

NYSE:FNV
Read Wellington Management Group LLP Takes $11.77 Million Position in Franco-Nevada Corporation $FNV
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Wellington Management Group LLP Acquires New Shares in Stantec Inc. $STN

NYSE:STN
Read Wellington Management Group LLP Acquires New Shares in Stantec Inc. $STN
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Wellington Management Group LLP Invests $11.93 Million in Newmont Corporation $NEM

NYSE:NEM
Read Wellington Management Group LLP Invests $11.93 Million in Newmont Corporation $NEM
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Wellington Management Group LLP Has $12.15 Million Stock Holdings in Core & Main, Inc. $CNM

NYSE:CNM
Read Wellington Management Group LLP Has $12.15 Million Stock Holdings in Core & Main, Inc. $CNM
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National CineMedia, Inc. $NCMI Stock Position Raised by Wellington Management Group LLP

NASDAQ:NCMI
Read National CineMedia, Inc. $NCMI Stock Position Raised by Wellington Management Group LLP
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Wellington Management Group LLP Makes New Investment in Shattuck Labs, Inc. $STTK

NASDAQ:STTK
Read Wellington Management Group LLP Makes New Investment in Shattuck Labs, Inc. $STTK
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Wellington Management Group LLP Acquires 525,718 Shares of NPK International Inc. $NPKI

NYSE:NPKI
Read Wellington Management Group LLP Acquires 525,718 Shares of NPK International Inc. $NPKI
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Turning Point Brands, Inc. $TPB Position Reduced by Wellington Management Group LLP

NYSE:TPB
Read Turning Point Brands, Inc. $TPB Position Reduced by Wellington Management Group LLP
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Wellington Management Group LLP Makes New $12.76 Million Investment in Argan, Inc. $AGX

NYSE:AGX
Read Wellington Management Group LLP Makes New $12.76 Million Investment in Argan, Inc. $AGX
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Wellington Management Group LLP Sells 342,788 Shares of Hillman Solutions Corp. $HLMN

NASDAQ:HLMN
Read Wellington Management Group LLP Sells 342,788 Shares of Hillman Solutions Corp. $HLMN
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Equity Bancshares, Inc. $EQBK Shares Sold by Wellington Management Group LLP

NYSE:EQBK
Read Equity Bancshares, Inc. $EQBK Shares Sold by Wellington Management Group LLP
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Wellington Management Group LLP Has $13.37 Million Holdings in International Paper Company $IP

NYSE:IP
Read Wellington Management Group LLP Has $13.37 Million Holdings in International Paper Company $IP
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190,115 Shares in Piper Sandler Companies $PIPR Purchased by Wellington Management Group LLP

NYSE:PIPR
Read 190,115 Shares in Piper Sandler Companies $PIPR Purchased by Wellington Management Group LLP
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CGI Group, Inc. $GIB Shares Bought by Wellington Management Group LLP

NYSE:GIB
Read CGI Group, Inc. $GIB Shares Bought by Wellington Management Group LLP
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Wellington Management Group LLP Sells 22,925 Shares of Liquidia Corporation $LQDA

NASDAQ:LQDA
Read Wellington Management Group LLP Sells 22,925 Shares of Liquidia Corporation $LQDA

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