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Focused investors/Richard Pzena

Richard Pzena - Pzena Investment Management

As of Q1 2026, this manager reported 158 long-equity positions worth $30.8B in aggregate.

As of Q1 2026, Richard Pzena's Pzena Investment Management held 158 long-equity positions with a reported value of $30.8B.

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Updated 2026-05-10 from SEC 13F data.

Live quotes available for 137 of 173 rows. Rows without a quote are marked unavailable.

1CTSHCOGNIZANT TECHNOLOGY SOLUTIONS CORPORATION CLASS A4.91%Reduce -0.1%17,647,121$1.15B$65.2852w: $51.33 - $70.86; reported $65.28
2LEALEAR CORPORATION4.03%Reduce -2.4%6,582,839$944.97M$143.5552w: $114.67 - $158.44; reported $143.55
3EIXEDISON INTERNATIONAL3.89%Reduce -6.3%13,119,628$911.16MNo quoteNo quote
4SSNCSS&C TECHNOLOGIES HOLDINGS INC.3.63%Add +0.3%14,031,514$850.31M$60.6052w: $45.25 - $64.52; reported $60.60
5WABWESTINGHOUSE AIR BRAKE TECHNOLOGIES CORPORATION3.54%Reduce -2.2%7,560,248$829.13M$109.6752w: $78.26 - $110.55; reported $109.67
6DOWDOW INC.3.38%Reduce -0.1%14,883,954$792.72M$53.2652w: $42.91 - $60.88; reported $53.26
7COFCAPITAL ONE FINANCIAL CORPORATION3.28%Add +0.7%7,041,191$770.1M$109.3752w: $83.93 - $123.09; reported $109.37
8WFCWELLS FARGO & COMPANY3.26%Reduce -3.4%17,933,758$765.41M$42.6852w: $35.25 - $48.84; reported $42.68
9CCITIGROUP INC.3.17%Reduce -1.7%16,140,478$743.11M$46.0452w: $40.01 - $54.56; reported $46.04
10GEGENERAL ELECTRIC COMPANY3.14%Reduce -44.6%6,697,314$735.7M$109.8552w: $37.34 - $88.00; reported $109.85
11EQHEQUITABLE HOLDINGS INC.2.83%Add +4.1%24,452,076$664.12M$27.1652w: $21.89 - $33.24; reported $27.16
12PVHPVH CORP.2.52%Reduce -3.6%6,964,608$591.78M$84.9752w: $43.49 - $94.51; reported $84.97
13NOVNOV INC2.52%Add +24.6%36,790,723$590.12M$16.0452w: $13.98 - $24.83; reported $16.04
14DOXAMDOCS LIMITED1.95%Reduce -3.2%4,623,123$457M$98.8552w: $78.02 - $99.75; reported $98.85
15NWLNEWELL BRANDS INC1.95%Add +3.2%52,422,875$456.08M$8.7052w: $7.80 - $21.55; reported $8.70
16CHTRCHARTER COMMUNICATIONS INC. CLASS A1.89%Add +104.9%1,205,824$442.98M$367.3752w: $297.66 - $496.37; reported $367.37
17AVTAVNET INC.1.87%Reduce -5.0%8,688,026$438.31M$50.4552w: $35.45 - $51.00; reported $50.45
18AIGAMERICAN INTERNATIONAL GROUP INC.1.86%Reduce -20.5%7,567,761$435.45M$57.5452w: $45.66 - $64.88; reported $57.54
19BACBANK OF AMERICA CORP1.85%Add +57.8%15,094,260$433.05M$28.6952w: $26.32 - $38.60; reported $28.69
20FMSFRESENIUS MEDICAL CARE AG & CO. KGAA SPON ADR1.70%Reduce -16.7%16,672,581$398.97M$23.9352w: $12.79 - $25.12; reported $23.93
21MGAMAGNA INTERNATIONAL INC.1.49%Add +36.3%6,201,580$350.02M$56.4452w: $45.58 - $68.92; reported $56.44
22GILGILDAN ACTIVEWEAR INC.1.49%Reduce -2.8%10,827,937$349.09M$32.2452w: $25.67 - $34.33; reported $32.24
23TELTE CONNECTIVITY LTD.1.39%Add +27.5%2,333,097$327.01M$140.1652w: $104.76 - $140.84; reported $140.16
24BKNGBOOKING HOLDINGS INC.1.33%Reduce -20.8%115,869$312.88M$2700.3352w: $64.67 - $111.47; reported $2700.33
25BMYBRISTOL-MYERS SQUIBB COMPANY1.18%Reduce -4.1%4,327,569$276.75M$63.9552w: $62.88 - $81.44; reported $63.95
26VOYAVOYA FINANCIAL INC.1.17%Reduce -2.5%3,816,407$273.67M$71.7152w: $56.20 - $78.11; reported $71.71
27MCKMCKESSON CORPORATION1.13%Reduce -3.9%617,851$264.01M$427.3152w: $315.78 - $429.75; reported $427.31
28METMETLIFE INC.1.12%Add +10.8%4,634,543$261.99M$56.5352w: $48.95 - $77.36; reported $56.53
29JPMJPMORGAN CHASE & CO.1.12%Reduce -3.2%1,798,712$261.6M$145.4452w: $101.28 - $146.00; reported $145.44
30AXSAXIS CAPITAL HOLDINGS LIMITED1.08%Reduce -8.3%4,703,828$253.21M$53.8352w: $48.32 - $63.99; reported $53.83
31HALHALLIBURTON COMPANY1.04%Add +3.5%7,407,122$244.36M$32.9952w: $23.30 - $43.42; reported $32.99
32MDTMEDTRONIC PLC1.01%Add +129.5%2,693,183$237.27M$88.1052w: $75.77 - $95.60; reported $88.10
33SHELSHELL PLC SPON ADR1.00%Add +56.5%3,878,156$234.16M$60.3852w: $44.90 - $62.75; reported $60.38
34TCOMTRIP.COM GROUP LTD. SPON ADR0.98%Reduce -16.7%6,573,309$230.07M$35.0052w: $19.25 - $40.17; reported $35.00
35ORCLORACLE CORPORATION0.95%Reduce -7.8%1,879,967$223.89M$119.0952w: $60.78 - $127.54; reported $119.09
36SKXSKECHERS U.S.A. INC. CLASS A0.89%Reduce -35.7%3,982,377$209.71MNo quoteNo quote
37GEHCGE HEALTHCARE TECHNOLOGIES INC0.89%Reduce -29.0%2,573,162$209.04M$81.2452w: $53.00 - $87.83; reported $81.24
38MHKMOHAWK INDUSTRIES INC.0.89%Reduce -0.7%2,013,534$207.72M$103.1652w: $87.02 - $137.41; reported $103.16
39HPEHEWLETT PACKARD ENTERPRISE CO.0.79%Reduce -15.4%11,062,464$185.85M$16.8052w: $11.90 - $17.74; reported $16.80
40CAHCARDINAL HEALTH INC.0.76%Reduce -10.7%1,886,489$178.41M$94.5752w: $51.32 - $95.10; reported $94.57
41CNOCNO FINANCIAL GROUP INC.0.74%Reduce -2.8%7,286,510$172.47M$23.6752w: $16.56 - $26.35; reported $23.67
42GSGOLDMAN SACHS GROUP INC.0.69%Reduce -3.0%499,119$160.99M$322.5452w: $277.84 - $389.58; reported $322.54
43CICIGNA GROUP0.67%Reduce -0.8%559,843$157.09M$280.6052w: $240.50 - $340.11; reported $280.60
44BAPCREDICORP LTD.0.58%Add +18.1%919,653$135.78M$147.6452w: $113.21 - $158.95; reported $147.64
45JELDJELD-WEN HOLDING INC.0.57%Reduce -6.3%7,647,393$134.14M$17.5452w: $8.38 - $18.02; reported $17.54
46TEXTEREX CORPORATION0.56%Reduce -27.2%2,197,609$131.48M$59.8352w: $26.76 - $60.85; reported $59.83
47OLNOLIN CORPORATION0.56%Add +1.6%2,543,608$130.72M$51.3952w: $41.33 - $64.70; reported $51.39
48UBSUBS GROUP AG0.53%Add +62.1%6,140,954$124.48M$20.2752w: $13.80 - $22.30; reported $20.27
49AXTAAXALTA COATING SYSTEMS LTD.0.53%Reduce -15.2%3,751,956$123.1M$32.8152w: $20.66 - $33.08; reported $32.81
50AMGNAMGEN INC.0.48%Reduce -2.3%505,353$112.2M$222.0252w: $211.71 - $296.67; reported $222.02
51JNJJOHNSON & JOHNSON0.45%Add +0.0%634,340$105M$165.5252w: $150.11 - $181.04; reported $165.52
52PFEPFIZER INC.0.43%Reduce -0.6%2,724,611$99.94M$36.6852w: $35.76 - $54.93; reported $36.68
53XOMEXXON MOBIL CORPORATION0.41%-905,095$97.07M$107.2552w: $80.69 - $119.92; reported $107.25
54GPSGAP INC.0.39%Reduce -4.5%10,165,235$90.78MNo quoteNo quote
55FLEXFLEX LTD.0.37%Reduce -1.0%3,160,548$87.36M$27.6452w: $10.27 - $21.05; reported $27.64
56SPBSPECTRUM BRANDS HOLDINGS INC.0.37%Add +18.1%1,112,156$86.8M$78.0552w: $38.93 - $84.12; reported $78.05
57ELVELEVANCE HEALTH INC0.37%Add +0.5%192,828$85.67M$444.2952w: $428.87 - $549.52; reported $444.29
58DANDANA INCORPORATED0.36%Reduce -1.8%4,941,202$84MNo quoteNo quote
59DOORMASONITE INTERNATIONAL CORP.0.35%Reduce -3.6%804,437$82.41MNo quoteNo quote
60WBSWEBSTER FINANCIAL CORPORATION0.33%Reduce -1.4%2,078,417$78.46M$37.7552w: $31.03 - $56.46; reported $37.75
61TSMTAIWAN SEMICONDUCTOR MANUFACTURING SPON ADR0.33%Reduce -4.8%760,562$76.76M$100.9252w: $59.43 - $110.69; reported $100.92
62SCSSTEELCASE INC. CLASS A0.33%Reduce -1.4%9,925,860$76.53MNo quoteNo quote
63GDGENERAL DYNAMICS CORPORATION0.32%-344,778$74.18M$215.1552w: $202.35 - $256.86; reported $215.15
64MRCMRC GLOBAL INC.0.31%Add +22.5%7,162,327$72.12MNo quoteNo quote
65DRHDIAMONDROCK HOSPITALITY COMPANY0.30%Add +45.0%8,909,183$71.36M$8.0152w: $7.14 - $10.04; reported $8.01
66AYIACUITY BRANDS INC.0.30%Add +112.5%433,536$70.7M$163.0852w: $149.30 - $202.90; reported $163.08
67CLSCELESTICA INC.0.29%Reduce -18.2%4,763,864$69.08M$14.5052w: $8.21 - $14.97; reported $14.50
68REZIRESIDEO TECHNOLOGIES INC.0.29%Add +361.0%3,893,972$68.77M$17.6652w: $14.95 - $23.94; reported $17.66
69BDCBELDEN INC.0.28%Reduce -16.8%694,700$66.45M$95.6552w: $50.90 - $96.74; reported $95.65
70OECORION ENGINEERED CARBONS SA0.28%Reduce -12.8%3,112,989$66.06M$21.2252w: $12.87 - $26.91; reported $21.22
71TRSTRIMAS CORPORATION0.28%Reduce -3.4%2,402,742$66.05M$27.4952w: $21.41 - $31.89; reported $27.49
72MSMORGAN STANLEY0.27%Reduce -0.6%750,196$64.07M$85.4052w: $72.05 - $100.99; reported $85.40
73AELAMERICAN EQUITY INVESTMENT LIFE HOLDING COMPANY0.26%Reduce -4.2%1,165,769$60.75MNo quoteNo quote
74CBRECBRE GROUP INC. CLASS A0.23%Add +0.0%673,274$54.34M$80.7152w: $66.31 - $89.58; reported $80.71
75ONBOLD NATIONAL BANCORP0.23%Reduce -2.8%3,836,754$53.48M$13.9452w: $11.66 - $20.19; reported $13.94
76AMWDAMERICAN WOODMARK CORPORATION0.23%Reduce -24.4%697,198$53.25M$76.3752w: $41.05 - $77.54; reported $76.37
77GLGLOBE LIFE INC.0.23%Add +2.5%481,479$52.78M$109.6252w: $95.65 - $123.85; reported $109.62
78JNPRJUNIPER NETWORKS INC.0.22%-1,624,538$50.9MNo quoteNo quote
79FBINFORTUNE BRANDS INNOVATIONS INC.0.22%Reduce -8.9%705,504$50.76M$71.9552w: $45.26 - $72.40; reported $71.95
80USNAUSANA HEALTH SCIENCES INC.0.21%Reduce -3.5%790,045$49.8M$63.0452w: $48.61 - $76.58; reported $63.04
81SCSCSCANSOURCE INC.0.21%Reduce -2.9%1,683,327$49.76M$29.5652w: $25.75 - $35.50; reported $29.56
82GMSGMS INC.0.21%Reduce -25.8%701,121$48.52MNo quoteNo quote
83ASBASSOCIATED BANC-CORP0.20%Reduce -0.9%2,950,481$47.89M$16.2352w: $14.47 - $25.50; reported $16.23
84ADNTADIENT PLC0.20%Reduce -2.4%1,237,568$47.42M$38.3252w: $27.15 - $47.50; reported $38.32
85UVVUNIVERSAL CORP0.20%Reduce -2.0%938,871$46.89M$49.9452w: $43.64 - $61.13; reported $49.94
86ABEVAMBEV SA SPON ADR0.20%Reduce -9.1%14,706,081$46.77M$3.1852w: $2.40 - $3.24; reported $3.18
87RGAREINSURANCE GROUP OF AMERICA INCORPORATED0.20%Reduce -11.8%336,086$46.61M$138.6952w: $112.23 - $153.35; reported $138.69
88REVGREV GROUP INC.0.20%Reduce -4.5%3,484,039$46.2MNo quoteNo quote
89IVZINVESCO LTD.0.19%Add +0.4%2,686,063$45.15M$16.8152w: $13.20 - $20.56; reported $16.81
90MSMMSC INDUSTRIAL DIRECT CO. INC. CLASS A0.19%Add +0.9%461,966$44.02M$95.2852w: $71.33 - $98.37; reported $95.28
91TBITRUEBLUE INC.0.18%Reduce -5.5%2,433,333$43.09M$17.7152w: $14.20 - $22.75; reported $17.71
92MBCMASTERBRAND INC0.18%Reduce -3.1%3,651,182$42.46M$11.6352w: $7.08 - $15.00; reported $11.63
93RFREGIONS FINANCIAL CORPORATION0.18%Reduce -0.8%2,378,399$42.38M$17.8252w: $13.94 - $24.33; reported $17.82
94HSICHENRY SCHEIN INC.0.17%Add +0.3%496,972$40.3M$81.1052w: $64.75 - $89.72; reported $81.10
95FNFFIDELITY NATIONAL FINANCIAL INC. - FNF GROUP0.17%Reduce -7.3%1,104,129$39.75M$36.0052w: $30.70 - $43.89; reported $36.00
96WSFSWSFS FINANCIAL CORPORATION0.17%Reduce -0.6%1,044,970$39.42M$37.7252w: $29.59 - $51.77; reported $37.72
97COLBCOLUMBIA BANKING SYSTEM INC.0.16%Add +0.3%1,886,045$38.25M$20.2852w: $17.54 - $35.53; reported $20.28
98FITBFIFTH THIRD BANCORP0.15%Add +0.6%1,361,303$35.68M$26.2152w: $22.11 - $38.06; reported $26.21
99BIDUBAIDU INC. SPON ADR CLASS A0.15%Add +1.2%249,450$34.15M$136.9152w: $73.58 - $160.88; reported $136.91
100ARWARROW ELECTRONICS INC.0.14%Add +1.5%236,971$33.94M$143.2352w: $89.38 - $145.05; reported $143.23
101EPACENERPAC TOOL GROUP CORP CLASS A0.14%Reduce -52.4%1,175,581$31.74MNo quoteNo quote
102CSCOCISCO SYSTEMS INC.0.13%Add +0.8%589,515$30.5M$51.7452w: $38.60 - $52.56; reported $51.74
103ARGOARGO GROUP INTERNATIONAL HOLDINGS LTD.0.13%Reduce -38.6%1,013,061$30MNo quoteNo quote
104PAHCPHIBRO ANIMAL HEALTH CORPORATION CLASS A0.12%Reduce -4.4%2,070,549$28.37M$13.7052w: $11.75 - $20.54; reported $13.70
105HOFTHOOKER FURNISHINGS CORPORATION0.12%Reduce -2.6%1,499,762$27.99M$18.6652w: $12.90 - $22.10; reported $18.66
106UVSPUNIVEST FINANCIAL CORPORATION0.12%Reduce -1.5%1,537,767$27.8M$18.0852w: $16.11 - $29.06; reported $18.08
107IBNICICI BANK LIMITED SPON ADR0.12%Reduce -13.8%1,185,337$27.36M$23.0852w: $17.61 - $23.75; reported $23.08
108VREXVAREX IMAGING CORPORATION0.11%Reduce -2.2%1,115,429$26.29M$23.5752w: $17.11 - $23.89; reported $23.57
109LDOSLEIDOS HOLDINGS INC.0.11%New296,813$26.26M$88.4852w: $76.58 - $110.91; reported $88.48
110MTZMASTEC INC.0.10%Reduce -63.3%201,777$23.8M$117.9752w: $62.36 - $118.32; reported $117.97
111SHGSHINHAN FINANCIAL GROUP CO. LTD. SPON ADR0.10%Reduce -3.6%857,547$22.35M$26.0652w: $22.98 - $36.64; reported $26.06
112KOPKOPPERS HOLDINGS INC.0.08%Reduce -2.0%565,770$19.29M$34.1052w: $20.11 - $38.42; reported $34.10
113TILEINTERFACE INC.0.08%New2,187,623$19.23M$8.7952w: $6.51 - $14.85; reported $8.79
114GGENPACT LIMITED0.08%Add +0.0%505,310$18.98M$37.5752w: $35.75 - $48.85; reported $37.57
115BFHBREAD FINANCIAL HOLDINGS INC.0.08%New601,637$18.89M$31.3952w: $23.19 - $45.75; reported $31.39
116CMACOMERICA INCORPORATED0.08%Add +2.2%433,997$18.38MNo quoteNo quote
117HOPEHOPE BANCORP INC.0.07%Reduce -18.2%2,021,803$17.02MNo quoteNo quote
118MDUMDU RESOURCES GROUP INC0.07%Reduce -30.2%1.457:1 split795,335$16.65MNo quoteNo quote
119SNVSYNOVUS FINANCIAL CORP.0.07%Add +152.2%543,498$16.44MNo quoteNo quote
120SNASNAP-ON INCORPORATED0.07%-56,187$16.19M$288.1952w: $192.25 - $289.47; reported $288.19
121KEYKEYCORP0.07%Add +0.6%1,729,986$15.99M$9.2452w: $8.54 - $20.30; reported $9.24
122ETRENTERGY CORPORATION0.05%Add +0.1%110,648$10.77MNo quoteNo quote
123KNFKNIFE RIVER CORPORATION0.04%New198,832$8.65M$43.5052w: $36.48 - $49.19; reported $43.50
124VZVERIZON COMMUNICATIONS INC.0.04%-230,539$8.57M$37.1952w: $33.72 - $51.89; reported $37.19
125CIGCOMPANHIA ENERGETICA DE MINAS GERAIS SA SPON ADR0.02%Reduce -1.9%1,745,696$4.59M$2.6352w: $1.40 - $2.08; reported $2.63
126SCBFYSTANDARD CHARTERED PLC UNSPON ADR0.02%Reduce -1.1%242,954$4.21MNo quoteNo quote
127BABAALIBABA GROUP HOLDING LIMITED SPON ADR0.02%Reduce -2.3%42,741$3.56M$83.3552w: $58.01 - $125.84; reported $83.35
128SSLSASOL LIMITED SPON ADR0.01%Reduce -1.7%245,111$3.03MNo quoteNo quote
129PKXPOSCO HOLDINGS INC. SPON ADR0.01%Reduce -28.8%37,667$2.79MNo quoteNo quote
130WLMIYWILMAR INTERNATIONAL LIMITED UNSPON ADR0.01%Add +2.0%87,882$2.49MNo quoteNo quote
131PBR-APETROLEO BRASILEIRO SA SPON ADR PFD0.01%Reduce -1.7%156,509$1.94M$12.3752w: $7.86 - $14.93; reported $12.37
132ITUBITAU UNIBANCO HOLDING S.A. SPON ADR PFD0.01%Reduce -1.9%285,037$1.68M$5.9052w: $3.44 - $5.37; reported $5.90
133NTCONATURA & CO HOLDING SA SPON ADR0.01%New233,434$1.63MNo quoteNo quote
134NOKNOKIA OYJ SPON ADR0.01%Add +9.1%314,083$1.31M$4.1652w: $3.93 - $5.28; reported $4.16
135KBKB FINANCIAL GROUP INC. SPON ADR0.01%Reduce -1.9%34,241$1.25M$36.4052w: $30.14 - $48.28; reported $36.40
136PHGKONINKLIJKE PHILIPS N.V. SPON ADR0.00%New38,189$828.32K$21.6952w: $11.75 - $22.34; reported $21.69
137BCSBARCLAYS PLC SPON ADR0.00%-103,849$816.25K$7.8652w: $5.89 - $9.44; reported $7.86
138HSBCHSBC HOLDINGS PLC SPON ADR0.00%-19,835$785.86K$39.6252w: $24.77 - $39.84; reported $39.62
139INGING GROEP NV SPON ADR0.00%-58,060$782.07K$13.4752w: $8.14 - $14.72; reported $13.47
140JLLJONES LANG LASALLE INCORPORATED0.00%New4,630$721.35K$155.8052w: $123.00 - $191.79; reported $155.80
141MTARCELORMITTAL SA ADR0.00%-25,051$684.89K$27.3452w: $19.25 - $32.49; reported $27.34
142ITRNITURAN LOCATION AND CONTROL LTD.0.00%Reduce -9.0%25,488$594.89K$23.3452w: $20.35 - $27.52; reported $23.34
143INGRINGREDION INCORPORATED0.00%Reduce -11.5%4,472$473.81K$105.9552w: $78.81 - $113.46; reported $105.95
144BIIBBIOGEN INC.0.00%New1,618$460.89K$284.8552w: $193.65 - $319.76; reported $284.85
145GILDGILEAD SCIENCES INC.0.00%Add +65.4%5,945$458.18K$77.0752w: $59.27 - $89.74; reported $77.07
146UTHRUNITED THERAPEUTICS CORPORATION0.00%Add +21.6%2,074$457.84K$220.7552w: $201.65 - $283.09; reported $220.75
147TRVTRAVELERS COMPANIES INC.0.00%-2,626$456.03K$173.6652w: $149.65 - $194.51; reported $173.66
148TMUST-MOBILE US INC.0.00%Reduce -8.0%3,238$449.76K$138.9052w: $124.92 - $154.38; reported $138.90
149EXELEXELIXIS INC.0.00%Reduce -36.9%18,316$350.02K$19.1152w: $14.87 - $22.47; reported $19.11
150BGBUNGE LIMITED0.00%-3,699$349K$94.3552w: $80.41 - $106.99; reported $94.35
151LPLALPL FINANCIAL HOLDINGS INC.0.00%Reduce -22.8%1,495$325.06K$217.4352w: $169.68 - $271.56; reported $217.43
152NWGNATWEST GROUP PLC SPON ADR0.00%-50,613$309.75K$6.1252w: $4.71 - $7.80; reported $6.12
153QRVOQORVO INC.0.00%-3,032$309.36K$102.0352w: $75.38 - $114.59; reported $102.03
154CMCSACOMCAST CORPORATION CLASS A0.00%Reduce -30.2%6,794$282.29K$41.5552w: $26.61 - $40.97; reported $41.55
155LHLABORATORY CORPORATION OF AMERICA HOLDINGS0.00%-1,160$279.94K$241.3352w: $172.10 - $226.06; reported $241.33
156SEBSEABOARD CORPORATION0.00%Reduce -37.6%73$259.93K$3560.7352w: $3295.00 - $4242.95; reported $3560.73
157MKLMARKEL CORPORATION0.00%New153$211.63K$1383.1852w: $1064.09 - $1458.56; reported $1383.18
158ICLRICON PLC0.00%New826$206.67K$250.2052w: $171.43 - $252.15; reported $250.20
159SMFGSUMITOMO MITSUI FINANCIAL GROUP INC. SPON ADR0.00%-23,654$203.42K$8.6052w: $5.39 - $9.18; reported $8.60
160SIRISIRIUS XM HOLDINGS INC.0.00%Reduce -12.6%33,806$153.14K$4.5352w: $33.20 - $68.50; reported $4.53
161VODVODAFONE GROUP PLC SPON ADR0.00%-12,387$117.06KNo quoteNo quote
173VTKLYVTECH HOLDINGS LIMITED UNSPON ADR-Sold0$0No quoteNo quote
172VNOVORNADO REALTY TRUST-Sold0$0No quoteNo quote
171TSCDYTESCO PLC SPON ADR-Sold0$0No quoteNo quote
170FTITECHNIPFMC PLC-Sold0$0No quoteNo quote
169MPAAMOTORCAR PARTS OF AMERICA INC.-Sold0$0No quoteNo quote
168MOGAMOOG INC. CLASS A-Sold0$0No quoteNo quote
167INTCINTEL CORPORATION-Sold0$0No quoteNo quote
166HUMHUMANA INC.-Sold0$0No quoteNo quote
165HALOHALOZYME THERAPEUTICS INC.-Sold0$0No quoteNo quote
164GXYYYGALAXY ENTERTAINMENT GROUP LIMITED UNSPON ADR-Sold0$0No quoteNo quote
163DOCUDOCUSIGN INC.-Sold0$0No quoteNo quote
162CACICACI INTERNATIONAL INC CLASS A-Sold0$0No quoteNo quote