Df Dent & Co Inc 13F annual report

Df Dent & Co Inc is an investment fund managing more than $7.74 trillion ran by Carolyn Gaynor. There are currently 244 companies in Mrs. Gaynor’s portfolio. The largest investments include Heico and Waste Connections Inc, together worth $507 billion.

Limited to 30 biggest holdings

$7.74 trillion Assets Under Management (AUM)

As of 7th August 2024, Df Dent & Co Inc’s top holding is 1,454,124 shares of Heico currently worth over $258 billion and making up 3.3% of the portfolio value. Relative to the number of outstanding shares of Heico, Df Dent & Co Inc owns more than approximately 0.1% of the company. In addition, the fund holds 1,417,745 shares of Waste Connections Inc worth $249 billion, whose value grew 9.9% in the past six months. The third-largest holding is Vulcan Materials Co worth $247 billion and the next is Intuitive Surgical Inc worth $245 billion, with 550,992 shares owned.

Currently, Df Dent & Co Inc's portfolio is worth at least $7.74 trillion. The total portfolio value may be much higher due to cash assets that are not publicly disclosed such as fixed income, real estate, or cash equivalents.

Careers at Df Dent & Co Inc

The Df Dent & Co Inc office and employees reside in Baltimore, Maryland. According to the last 13-F report filed with the SEC, Carolyn Gaynor serves as the Chief Compliance Officer at Df Dent & Co Inc.

Recent trades

In the most recent 13F filing, Df Dent & Co Inc revealed that it had opened a new position in Uber Technologies Inc and bought 279,406 shares worth $20.3 billion. This means they effectively own approximately 0.1% of the company. Uber Technologies Inc makes up 1.5% of the fund's Technology sector allocation and has grown its share price by 58.4% in the past year.

The investment fund also strengthened its position in Veeva Systems Inc by buying 7,802 additional shares. This makes their stake in Veeva Systems Inc total 894,028 shares worth $164 billion. Veeva Systems Inc dropped 1.1% in the past year.

On the other hand, there are companies that Df Dent & Co Inc is getting rid of from its portfolio. Df Dent & Co Inc closed its position in Mcewen Mng Inc Com on 14th August 2024. It sold the previously owned 585,000 shares for $5.77 billion. Carolyn Gaynor also disclosed a decreased stake in Heico by approximately 0.1%. This leaves the value of the investment at $258 billion and 1,454,124 shares.

One of the largest hedge funds

The two most similar investment funds to Df Dent & Co Inc are Wealthspire Advisors and Fundsmith Investment Services Ltd. They manage $7.75 trillion and $7.75 trillion respectively.


Carolyn Gaynor investment strategy

Df Dent & Co Inc’s portfolio is diversified across 12 sectors. Currently, their heaviest sector is Technology — making up 17.8% of the total portfolio value. The fund focuses on investments in the United States as 54.1% of the portfolio companies are based in the United States.

The majority of the companies in the fund’s portfolio are large-cap stocks. Stocks with a size of more than $10 billion in market cap make up 39% of the total holdings value. On the other hand, small-cap stocks make up only 0.4% of the portfolio. The average market cap of the portfolio companies is close to $116 billion.

The complete list of Df Dent & Co Inc trades based on 13F SEC filings

These positions were updated on August 14th based on the fund’s latest 13F filing. Quickly find out what the most recently closed or increased positions are.

Security Shares Owned Value Allocation
Heico Corp.
1.08%
1,454,124
$258,136,158,000 3.34%
Waste Connections Inc
7.86%
1,417,745
$248,615,775,000 3.21%
Vulcan Materials Co
6.91%
992,185
$246,736,669,000 3.19%
Intuitive Surgical Inc
10.17%
550,992
$245,108,805,000 3.17%
Transdigm Group Incorporated
18.43%
190,723
$243,669,593,000 3.15%
Bio-Techne Corp
0.67%
3,374,366
$241,773,358,000 3.13%
Ecolab, Inc.
8.99%
1,012,767
$241,038,551,000 3.12%
Moodys Corp
3.22%
519,978
$218,874,206,000 2.83%
Visa Inc
3.72%
830,503
$217,982,206,000 2.82%
Alphabet Inc
2.04%
1,149,269
$210,798,895,000 2.72%
Amazon.com Inc.
9.40%
1,086,020
$209,873,365,000 2.71%
Ansys Inc.
4.14%
652,496
$209,777,438,000 2.71%
Guidewire Software Inc
0.96%
1,500,943
$206,964,996,000 2.68%
Veralto Corp
7.19%
2,071,503
$197,766,438,000 2.56%
CBRE Group Inc
3.58%
2,113,626
$188,345,185,000 2.43%
Mastercard Inc-class A
2.84%
424,494
$187,269,857,000 2.42%
Markel Group Inc
4.09%
111,143
$175,124,210,000 2.26%
S & P Global Inc
3.02%
387,754
$172,938,478,000 2.24%
Veeva Systems Inc
0.88%
894,028
$163,616,147,000 2.12%
Fastenal Co.
9.16%
2,575,907
$161,870,010,000 2.09%
Microsoft Corporation
2.66%
348,848
$155,917,730,000 2.02%
Old Dominion Fght Lines Inc Co
14.30%
878,323
$155,111,851,000 2.01%
Danaher Corp.
3.04%
601,560
$150,299,806,000 1.94%
Costar Group, Inc.
3.34%
1,882,633
$139,578,388,000 1.80%
Thermo Fisher Scientific Inc.
2.17%
228,691
$126,466,165,000 1.63%
Willscot Hldgs Corp
3.09%
3,083,900
$116,077,989,000 1.50%
Verisk Analytics Inc
25.53%
390,076
$105,144,979,000 1.36%
Carmax Inc
7.52%
1,416,959
$103,919,755,000 1.34%
West Pharmaceuticals, Inc.
14.87%
298,588
$98,352,015,000 1.27%
SiteOne Landscape Supply Inc
11.58%
752,637
$91,377,624,000 1.18%
Kinsale Capital Group, Inc.
3.79%
219,935
$84,736,741,000 1.10%
Goosehead Insurance Inc
0.91%
1,380,210
$79,279,285,000 1.02%
Appfolio Inc
17.21%
319,510
$78,142,622,000 1.01%
Crowdstrike Holdings Inc
17.34%
203,580
$78,009,652,000 1.01%
Monolithic Pwr Sys Inc Com
2.78%
85,305
$70,093,821,000 0.91%
Wns Holdings Ltd
2.60%
1,334,212
$70,046,130,000 0.91%
Atlassian Corporation
55.76%
387,327
$68,510,439,000 0.89%
Intuit Inc
10.97%
103,680
$68,139,215,000 0.88%
Qualcomm, Inc.
4.76%
324,284
$64,590,809,000 0.83%
Edwards Lifesciences Corp
3.56%
653,203
$60,336,377,000 0.78%
Asml Holdings
69.81%
58,873
$60,210,737,000 0.78%
Repligen Corp.
2.46%
450,706
$56,815,944,000 0.73%
Tyler Technologies, Inc.
42.92%
110,575
$55,594,682,000 0.72%
Utz Brands, Inc.
17.12%
3,043,010
$50,635,685,000 0.65%
Zoetis Inc
18.85%
269,605
$46,738,674,000 0.60%
Illumina Inc
5.60%
443,725
$46,316,064,000 0.60%
American Tower Corp.
8.64%
237,910
$46,244,943,000 0.60%
Floor & Decor Holdings Inc
16.26%
454,365
$45,168,473,000 0.58%
Manhattan Assocs Inc Com
116.35%
156,684
$38,650,792,000 0.50%
O Reilly Automotive
0.86%
36,412
$38,453,257,000 0.50%
Sherwin-Williams Co.
4.56%
126,218
$37,667,362,000 0.49%
Murphy USA Inc
16.20%
71,089
$33,373,581,000 0.43%
Hamilton Lane Inc
16.02%
265,861
$32,855,046,000 0.42%
Core & Main, Inc.
16.19%
660,098
$32,305,196,000 0.42%
Mettler Toledo Intl
29.24%
22,971
$32,104,347,000 0.42%
Workiva Inc
41.67%
382,697
$27,933,061,000 0.36%
Roper Technologies Inc
0.70%
48,413
$27,288,483,000 0.35%
Idexx Labs Inc
1.21%
55,599
$27,087,833,000 0.35%
Novanta Inc Com Npv
15.07%
162,313
$26,474,885,000 0.34%
Medpace Holdings Inc
3.55%
55,639
$22,914,770,000 0.30%
Eagle Materials Inc.
15.91%
104,737
$22,776,100,000 0.29%
MSCI Inc
2,443.11%
46,666
$22,481,522,000 0.29%
Endava plc
3.60%
758,226
$22,170,515,000 0.29%
Procter & Gamble Co.
0.11%
129,741
$21,396,886,000 0.28%
The Descartes Systems Group In
48.55%
218,595
$21,168,696,000 0.27%
CSW Industrials Inc
50.22%
78,990
$20,956,938,000 0.27%
Uber Technologies Inc
Opened
279,406
$20,307,228,000 0.26%
Healthequity Inc
7.09%
234,715
$20,232,392,000 0.26%
Procore Technologies, Inc.
37.80%
302,674
$20,070,328,000 0.26%
Apple Inc
0.93%
94,571
$19,918,544,000 0.26%
Charles River Laboratories Int
42.93%
96,271
$19,887,640,000 0.26%
Alarm.com Holdings Inc
50.92%
291,575
$18,526,677,000 0.24%
Exponent Inc.
18.19%
177,821
$16,914,376,000 0.22%
Lemaitre Vascular Inc
15.33%
204,970
$16,864,929,000 0.22%
Constellation Software F
0.35%
5,695
$16,334,171,000 0.21%
Morningstar Inc
16.14%
54,783
$16,207,592,000 0.21%
Douglas Dynamics Inc
19.85%
677,624
$15,856,408,000 0.20%
Casella Waste Systems, Inc.
15.81%
151,927
$15,074,178,000 0.19%
Kadant, Inc.
16.22%
50,672
$14,886,352,000 0.19%
SPS Commerce Inc.
Opened
76,788
$14,448,439,000 0.19%
Perimeter Solutions, SA
16.46%
1,837,817
$14,390,105,000 0.19%
Costco Wholesale Corp
5.14%
16,834
$14,308,448,000 0.18%
BlackLine Inc
47.16%
294,656
$14,276,083,000 0.18%
Simpson Manufacturing Co., Inc.
15.87%
83,157
$14,014,370,000 0.18%
Evertec Inc
15.35%
357,113
$11,874,008,000 0.15%
Atrion Corp.
40.31%
25,634
$11,597,491,000 0.15%
WD-40 Co.
15.79%
52,635
$11,560,829,000 0.15%
Berkshire Hathaway Inc.
0.74%
27,855
$11,331,414,000 0.15%
ServiceNow Inc
Opened
14,018
$11,027,540,000 0.14%
Bright Horizons Fam Sol In Del
15.95%
98,100
$10,798,833,000 0.14%
John Bean Technologies Corp
19.65%
102,638
$9,747,494,000 0.13%
T. Rowe Price Group Inc.
1.98%
81,971
$9,452,076,000 0.12%
Watsco, Inc.
2.31%
19,192
$8,890,363,000 0.11%
Trupanion Inc
14.97%
287,857
$8,462,986,000 0.11%
J P Morgan Chase & Co
13.67%
40,532
$8,197,976,000 0.11%
Johnson & Johnson
2.35%
55,338
$8,088,261,000 0.10%
Berkshire Hathaway Inc Delawa
No change
13
$7,959,133,000 0.10%
Vanguard S&p 500 Etf
No change
14,037
$7,020,325,000 0.09%
Mcewen Mng Inc Com
Closed
585,000
$5,768,100,000
Merck & Co Inc
0.11%
46,463
$5,752,119,000 0.07%
Fiserv, Inc.
3.69%
35,357
$5,269,607,000 0.07%
Lowe's Companies Inc
3.72%
22,010
$4,852,325,000 0.06%
Abbvie Inc Shs
0.71%
27,618
$4,737,039,000 0.06%
Alphabet Inc
3.22%
23,423
$4,266,499,000 0.06%
Auto Data Processing
3.00%
16,688
$3,983,299,000 0.05%
Cameco Corp.
17.39%
79,483
$3,910,564,000 0.05%
Paychex Inc.
0.82%
32,143
$3,810,874,000 0.05%
Crown Castle Inc
2.11%
37,132
$3,627,807,000 0.05%
Shopify Inc
43.75%
51,600
$3,408,180,000 0.04%
Wabtec
18.04%
21,515
$3,400,446,000 0.04%
SBA Communications Corp
38.23%
16,634
$3,265,311,000 0.04%
Unitedhealth Grp Inc
4.14%
6,372
$3,245,137,000 0.04%
Lilly Eli & Co
No change
3,478
$3,148,975,000 0.04%
Ingersoll Rand Inc.
15.97%
33,565
$3,049,046,000 0.04%
Vanguard Ftse All World Ex Us
0.96%
51,522
$3,021,250,000 0.04%
Dexcom Inc
0.15%
26,260
$2,977,359,000 0.04%
Intel Corp.
2.96%
92,856
$2,875,750,000 0.04%
Abbott Laboratories
0.51%
25,141
$2,612,401,000 0.03%
Range Resources Corp
36.84%
77,135
$2,586,337,000 0.03%
Cisco Systems, Inc.
2.75%
52,544
$2,496,360,000 0.03%
Coterra Energy Inc
11.09%
93,162
$2,484,638,000 0.03%
Coca Cola Com
No change
37,837
$2,408,351,000 0.03%
Capital One Finl Corp Com
2.57%
17,375
$2,405,606,000 0.03%
Amphenol Corp.
80.80%
31,350
$2,112,079,000 0.03%
Terreno Realty Corp
34.62%
34,122
$2,019,340,000 0.03%
Franco-Nevada Corporation
29.62%
16,335
$1,936,024,000 0.03%
Home Depot, Inc.
4.05%
5,563
$1,915,120,000 0.02%
Analog Devices Inc.
12.43%
8,134
$1,856,718,000 0.02%
Comcast Corp New Cl A
10.95%
46,756
$1,830,946,000 0.02%
Canadian Natl Railwy F
0.07%
14,900
$1,760,137,000 0.02%
Vaneck Vectors Oil Svcs
Closed
5,100
$1,715,283,000
Mccormick & Co Inc Com Non Vtg
No change
23,196
$1,645,524,000 0.02%
Wheaton Precious Metals Corp
30.97%
31,200
$1,635,504,000 0.02%
Norfolk Southern Corp.
No change
7,474
$1,604,593,000 0.02%
Vanguard Dividend Apprec
8.36%
8,769
$1,600,781,000 0.02%
Discover Financial Services
No change
12,013
$1,571,440,000 0.02%
Chevron Corp.
1.14%
9,960
$1,558,002,000 0.02%
Cdw Corp Com
7.80%
6,833
$1,529,507,000 0.02%
Exxon Mobil Corp.
15.10%
13,254
$1,525,808,000 0.02%
Stryker Corp.
1.84%
4,420
$1,503,929,000 0.02%
Signet Jewelers Ltd
Closed
15,000
$1,501,050,000
CryoPort Inc
11.49%
206,227
$1,425,026,000 0.02%
Nextera Energy Inc Shs
8.36%
19,742
$1,397,908,000 0.02%
Pepsico Inc
0.43%
8,286
$1,366,686,000 0.02%
Berkley W R Corp
No change
16,998
$1,335,703,000 0.02%
Mondelez International Inc.
10.73%
20,020
$1,310,089,000 0.02%
Chubb Ltd
No change
4,804
$1,225,461,000 0.02%
Colgate-Palmolive Co.
No change
12,237
$1,187,444,000 0.02%
Marsh & Mc Lennan Companies In
10.78%
5,611
$1,182,350,000 0.02%
Accenture Plc F Class A
2.07%
3,826
$1,160,847,000 0.02%
Keysight Technologies Inc
No change
8,400
$1,148,700,000 0.01%
Pfizer Inc.
7.48%
40,856
$1,143,150,000 0.01%
Lvmh Moet Hennessy Lou Vuitton
4.73%
7,324
$1,123,135,000 0.01%
Linde Plc Shs
2.14%
2,518
$1,105,008,000 0.01%
Walt Disney Co (The)
1.12%
11,065
$1,098,644,000 0.01%
Vanguard High Dividend Yield E
41.74%
9,248
$1,096,813,000 0.01%
Scorpio Tankers Inc
Closed
15,000
$1,073,250,000
Enterprise Prods Part Lp
0.49%
36,772
$1,065,653,000 0.01%
Laboratory Corp Amer Hldgs Com
Closed
4,842
$1,057,783,000
Honeywell International Inc
43.95%
4,655
$994,095,000 0.01%
Ishares Msci Eafe Etf
2.23%
12,468
$976,618,000 0.01%
Booz Allen Hamilton Holding Or
2.76%
5,947
$915,243,000 0.01%
Labcorp Holdings Inc.
Opened
4,372
$889,746,000 0.01%
Blackstone Group Ord Shs Class
No change
7,112
$880,466,000 0.01%
Vanguard Ftse Emerging Markets
No change
19,381
$848,113,000 0.01%
Booking Holding, Inc.
114.00%
214
$847,761,000 0.01%
Nxp Semiconductors
2.07%
3,118
$839,023,000 0.01%
EQT Corp
Closed
22,500
$834,075,000
Eog Res Inc Com
2.12%
6,564
$826,183,000 0.01%
Canadian Pacific Kansas City C
5.78%
10,479
$825,012,000 0.01%
Interpublic Group Of Cos., Inc.
Closed
25,157
$820,881,000
AMGEN Inc.
0.65%
2,600
$812,370,000 0.01%
Walmart Inc
11.14%
11,963
$809,985,000 0.01%
TJX Companies, Inc.
No change
7,284
$801,920,000 0.01%
Ibm Corp
No change
4,631
$800,931,000 0.01%
Wells Fargo Bk N A
Closed
13,438
$778,880,000
Nestle S A F Sponsored Adr 1 A
6.34%
7,392
$757,310,000 0.01%
Bank Amer Corp Com
1.06%
18,731
$744,922,000 0.01%
Vanguard Total Stk Mkt Etf
No change
2,615
$699,539,000 0.01%
Topicus Com Inc Registered Shs
Closed
7,875
$697,701,000
Union Pacific Corp.
6.22%
3,031
$685,853,000 0.01%
Pool Corporation
No change
2,151
$661,067,000 0.01%
OrthoPediatrics corp
Closed
22,416
$653,651,000
Starbucks Corp Com
12.81%
8,290
$645,387,000 0.01%
Nike, Inc.
Closed
6,658
$625,735,000
Sprout Social, Inc.
98.77%
17,493
$624,150,000 0.01%
Cogent Communications Hldgs In
8.08%
10,937
$617,284,000 0.01%
Vanguard Mid Cap Etf
No change
2,533
$613,239,000 0.01%
Vanguard Info Technology Index
No change
1,058
$610,032,000 0.01%
M & T Bank Corp
11.46%
4,027
$609,544,000 0.01%
Netflix Inc.
Closed
1,000
$607,330,000
U.S. Bancorp.
13.89%
15,276
$606,475,000 0.01%
Otis Worldwide Ord Shs
185.21%
6,229
$599,613,000 0.01%
Pnc Finl Services
16.06%
3,835
$596,266,000 0.01%
East West Bancorp, Inc.
No change
7,104
$520,226,000 0.01%
3M Co.
No change
5,073
$518,423,000 0.01%
Vanguard Reit Etf
11.11%
6,079
$509,177,000 0.01%
Emerson Electric Co.
No change
4,543
$500,494,000 0.01%
Ventas Inc Reit
No change
9,445
$484,164,000 0.01%
Mc Donalds Corp
5.65%
1,805
$460,093,000 0.01%
Oneok Inc.
No change
5,603
$456,925,000 0.01%
Eaton Corp Plc Shs
No change
1,412
$442,805,000 0.01%
Wisdomtree Tr India Erngs Fd
No change
9,000
$434,520,000 0.01%
Illinois Tool Works, Inc.
No change
1,829
$433,441,000 0.01%
RPM International, Inc.
No change
3,800
$409,184,000 0.01%
Novartis Ag F Sponsored Adr 1
0.10%
3,825
$407,209,000 0.01%
Becton Dickinson&co
No change
1,731
$404,572,000 0.01%
Verizon Communicatn
20.11%
9,491
$391,409,000 0.01%
Pioneer Nat Res Co Com
Closed
1,448
$380,152,000
Southwestern Energy Co Com
Closed
50,000
$379,000,000
Financial Select Sector Spdr
Closed
8,978
$378,153,000
Conocophillips
46.92%
3,303
$377,807,000 0.00%
Meta Platforms Inc
6.74%
747
$376,652,000 0.00%
Healthpeak Pptys Inc
4.99%
19,037
$373,128,000 0.00%
Air Prod & Chemicals
No change
1,445
$372,882,000 0.00%
Middleby Corp.
No change
3,031
$371,631,000 0.00%
Grail Inc
Opened
23,991
$368,736,000 0.00%
Neogen Corp Com
6.37%
23,521
$367,633,000 0.00%
Calamos Conv Opp And Inc Fd Sh
No change
30,396
$353,809,000 0.00%
Nutrien Ltd
Closed
6,500
$353,015,000
Caterpillar Inc Del Com
No change
1,044
$347,756,000 0.00%
RTX Corp
4.23%
3,400
$341,311,000 0.00%
Hecla Mining Co.
Closed
70,000
$336,700,000
Vanguard Index Fds Small Cp Et
No change
1,510
$329,240,000 0.00%
Spdr Gold Trust
No change
1,500
$322,515,000 0.00%
United Parcel Srvc Class B
33.25%
2,349
$321,495,000 0.00%
Shore Bancshares Inc.
No change
28,001
$320,611,000 0.00%
Vanguard Health Care
No change
1,204
$320,264,000 0.00%
Cable One Inc
16.26%
891
$315,414,000 0.00%
Trimble Inc
35.44%
5,628
$314,718,000 0.00%
Republic Svcs Inc
Closed
1,637
$313,404,000
BP plc
3.12%
8,650
$312,265,000 0.00%
W.p. Carey Inc. Reit
5.07%
5,556
$305,851,000 0.00%
Ishares Msci Emerging Markets
No change
4,930
$291,856,000 0.00%
Carrier Global Ord Shs
8.87%
4,625
$291,759,000 0.00%
Ishares Tr U.s. Tech Etf
No change
1,910
$287,455,000 0.00%
Oracle Corp.
No change
1,945
$274,568,000 0.00%
Wayfair Inc
24.63%
5,202
$274,301,000 0.00%
S&p Dep Receipts
No change
502
$273,198,000 0.00%
American Express Co.
No change
1,155
$267,459,000 0.00%
Jacobs Solutions Inc
No change
1,880
$262,655,000 0.00%
Spdr Fund Consumer Discre Sele
No change
1,431
$261,014,000 0.00%
Southern Company
No change
3,356
$260,346,000 0.00%
Chewy Inc
99.16%
9,235
$251,561,000 0.00%
Ishares Core Msci Eafe Etf
No change
3,430
$249,155,000 0.00%
Kinross Gold Corp.
Closed
40,000
$245,200,000
Bristol-Myers Squibb Co.
Closed
4,456
$241,674,000
Fortinet Inc
No change
3,953
$238,247,000 0.00%
Genuine Parts Co.
No change
1,700
$235,144,000 0.00%
Pinnacle West Cap Corp
No change
3,000
$229,140,000 0.00%
Abrdn Healthcare Opportunities
0.90%
11,217
$228,602,000 0.00%
3-d Sys Corp Del Com New
Closed
50,012
$222,053,000
Emcor Group, Inc.
No change
605
$220,873,000 0.00%
Alps Alerian Mlp Etf
4.81%
4,598
$220,612,000 0.00%
Realty Incm Crp Md Pv$1.reit
25.26%
4,102
$216,687,000 0.00%
Technology Select Sector Spdr
Opened
956
$216,276,000 0.00%
Dow Ord Shs
Closed
3,649
$211,376,000
Flaherty & Crumrine Pfd Secs I
2.54%
14,133
$209,027,000 0.00%
Vanguard Ftse Developed Market
No change
4,202
$207,663,000 0.00%
Ishares Tr Select Divid Etf
No change
1,705
$206,271,000 0.00%
CVS Health Corp
17.50%
3,479
$205,470,000 0.00%
Peloton Interactive Inc Cl A C
6.23%
60,250
$203,645,000 0.00%
Texas Instruments Inc.
Closed
1,163
$202,606,000
Broadcom Inc
Opened
125
$200,985,000 0.00%
Mag Silver Corp Com
Closed
10,000
$105,800,000
Cbre Clarion Global Real Estat
Closed
16,268
$87,522,000
Gamco Global Gold Nat Res & In
6.36%
20,412
$82,669,000 0.00%
Nuveen Pref Income Opps Fund
Opened
10,688
$79,839,000 0.00%
Metalla Royalty & Streaming Lt
Closed
25,000
$77,750,000
Orla Mining Ltd
Closed
20,000
$75,800,000
Nymox Pharmaceutical Corp Com
Closed
75,000
$30,000,000
Mergenet Solutions Inc Com
No change
10,000
$10,000,000 0.00%
Telesis Bio Inc Com New
Closed
20,000
$8,800,000
No transactions found
Showing first 500 out of 273 holdings