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GRNA Holdings Changes image
This page summarizes the GRNA holdings changes quarter over quarter among those 13F filers that have reported for the 12/31/2022 period, comparing share count change from 9/30/2022 to 12/31/2022. Share count is compared over these two periods to provide an indication of whether GRNA is being accumulated or sold by institutions that file their holdings via 13F filings (and as always, when considering this data it is important to be mindful of the long only reporting requirement).
Filer9/30/2022
 Share Count 
12/31/2022
 Share Count 
Change% Change
13F Filers Increasing GRNA Share Count
Bank of America Corp DE 8,558 76,727 +68,169 +796.55%
FMR LLC 357 2,649 +2,292 +642.02%
Royal Bank of Canada 3,079 14,879 +11,800 +383.24%
Millennium Management LLC 41,090 149,474 +108,384 +263.77%
UBS Group AG 2,800 10,163 +7,363 +262.96%
Goldman Sachs Group Inc. 29,082 77,078 +47,996 +165.04%
Tower Research Capital LLC TRC 6,573 12,545 +5,972 +90.86%
Deutsche Bank AG 30,351 49,530 +19,179 +63.19%
Arizona State Retirement System 13,392 21,369 +7,977 +59.57%
Swiss National Bank 115,825 182,925 +67,100 +57.93%
Rhumbline Advisers 45,534 67,471 +21,937 +48.18%
State Street Corp 811,721 1,200,218 +388,497 +47.86%
Teacher Retirement System of Texas 15,903 23,182 +7,279 +45.77%
Legal & General Group Plc 20,857 30,373 +9,516 +45.62%
California State Teachers Retirement System 71,001 102,676 +31,675 +44.61%
BlackRock Inc. 3,779,421 5,304,156 +1,524,735 +40.34%
Geode Capital Management LLC 1,226,959 1,570,186 +343,227 +27.97%
Northern Trust Corp 599,384 766,610 +167,226 +27.90%
Voya Investment Management LLC 29,298 37,276 +7,978 +27.23%
Charles Schwab Investment Management Inc. 478,651 608,813 +130,162 +27.19%
Morgan Stanley 49,040 62,067 +13,027 +26.56%
American International Group Inc. 34,399 42,286 +7,887 +22.93%
Price T Rowe Associates Inc. MD 10,976 13,492 +2,516 +22.92%
Vanguard Group Inc. 1,205,436 1,381,551 +176,115 +14.61%
Bank of New York Mellon Corp 213,329 239,604 +26,275 +12.32%
Rockefeller Capital Management L.P. 20,801 22,301 +1,500 +7.21%
Credit Suisse AG 32,865 34,719 +1,854 +5.64%
ETF Managers Group LLC 36,500 37,784 +1,284 +3.52%
Principal Financial Group Inc. 10,227 10,543 +316 +3.09%
New York State Common Retirement Fund 26,900 27,413 +513 +1.91%
Invesco Ltd. 30,086 30,644 +558 +1.85%
13F Filers Reporting New Positions In GRNA
Proequities Inc. 0 0 UNCH 100%
SVB Financial Group 0 16,950 +16,950 +100%
UBS Asset Management Americas Inc. 0 75,278 +75,278 +100%
The Manufacturers Life Insurance Company 0 28,825 +28,825 +100%
Alliancebernstein L.P. 0 14,700 +14,700 +100%
ProShare Advisors LLC 0 24,037 +24,037 +100%
Tortoise Investment Management LLC 0 2 +2 +100%
Squarepoint Ops LLC 0 10,140 +10,140 +100%
Belpointe Asset Management LLC 0 2,500 +2,500 +100%
China Universal Asset Management Co. Ltd. 0 1,539 +1,539 +100%
13F Filers With Unchanged Share Count
Regents of The University of California 198,310 198,310 UNCH 0.00%
Strs Ohio 16,600 16,600 UNCH 0.00%
Amalgamated Bank 11,237 11,237 UNCH 0.00%
National Bank of Canada FI 800 800 UNCH 0.00%
Continental Grain Co. 6,489,242 6,489,242 UNCH 0.00%
HarbourVest Partners LLC 48,835 48,835 UNCH 0.00%
Board of Trustees of The Leland Stanford Junior University 1,687,374 1,687,374 UNCH 0.00%
State of Tennessee Treasury Department 175,372 175,372 UNCH 0.00%
Advisor Group Holdings Inc. 15,400 15,400 UNCH 0.00%
Tao Capital Management LP 2,671,664 2,671,664 UNCH 0.00%
Essex Private Wealth Management LLC 10,000 10,000 UNCH 0.00%
Diversified LLC 82,863 82,863 UNCH 0.00%
13F Filers Decreasing GRNA Share Count
Citigroup Inc. 10,661 4,410 -6,251 -58.63%
Baird Financial Group Inc. 2,856,695 1,553,470 -1,303,225 -45.62%
Nuveen Asset Management LLC 155,230 104,610 -50,620 -32.61%
JPMorgan Chase & Co. 66,250 50,950 -15,300 -23.09%
BNP PARIBAS ASSET MANAGEMENT Holding S.A. 1,101,218 955,470 -145,748 -13.24%
Hudson Bay Capital Management LP 2,219,803 1,961,870 -257,933 -11.62%
Cormorant Asset Management LP 10,261,560 9,188,659 -1,072,901 -10.46%
Allspring Global Investments Holdings LLC 24,275 23,755 -520 -2.14%
13F Filers Exiting GRNA
Congress Wealth Management LLC DE 20,000 0 -20,000 -100.00%
Parallel Advisors LLC 347 0 -347 -100.00%
Susquehanna International Group LLP 22,017 0 -22,017 -100.00%
SG Americas Securities LLC 12,488 0 -12,488 -100.00%
Bank of Montreal Can 16,244 0 -16,244 -100.00%
Wells Fargo & Company MN 1,317 0 -1,317 -100.00%

See Summary: Institutional Holders of GRNA
See Details: Top 10 Hedge Funds Holding GRNA
Also See: GRNA Insider Buying

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