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SYRS Holdings Changes image
This page summarizes the SYRS holdings changes quarter over quarter among those 13F filers that have reported for the 6/30/2020 period, comparing share count change from 3/31/2020 to 6/30/2020. Share count is compared over these two periods to provide an indication of whether SYRS 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).
Filer3/31/2020
 Share Count 
6/30/2020
 Share Count 
Change% Change
13F Filers Increasing SYRS Share Count
Cubist Systematic Strategies LLC 166 19,079 +18,913 +11393.37%
Royal Bank of Canada 180 6,070 +5,890 +3272.22%
Citigroup Inc. 12,627 70,502 +57,875 +458.34%
Morgan Stanley 5,506 23,652 +18,146 +329.57%
Russell Investments Group Ltd. 2,106 8,959 +6,853 +325.40%
Wells Fargo & Company MN 22,768 83,105 +60,337 +265.01%
D. E. Shaw & Co. Inc. 84,818 232,429 +147,611 +174.03%
California Public Employees Retirement System 34,997 94,694 +59,697 +170.58%
AQR Capital Management LLC 14,629 39,128 +24,499 +167.47%
Two Sigma Advisers LP 80,400 182,300 +101,900 +126.74%
Barclays PLC 11,490 22,877 +11,387 +99.10%
Los Angeles Capital Management & Equity Research Inc. 46,842 83,112 +36,270 +77.43%
Deutsche Bank AG 11,895 21,031 +9,136 +76.81%
SG Americas Securities LLC 13,872 22,624 +8,752 +63.09%
Nuveen Asset Management LLC 138,629 203,292 +64,663 +46.64%
ARK Investment Management LLC 5,899,398 8,513,133 +2,613,735 +44.31%
Ameritas Investment Partners Inc. 2,602 3,667 +1,065 +40.93%
Goldman Sachs Group Inc. 45,934 62,870 +16,936 +36.87%
State Street Corp 653,131 845,149 +192,018 +29.40%
New York State Common Retirement Fund 31,300 40,400 +9,100 +29.07%
Bank of New York Mellon Corp 116,764 149,048 +32,284 +27.65%
Alliancebernstein L.P. 39,600 49,200 +9,600 +24.24%
Rhumbline Advisers 39,449 48,922 +9,473 +24.01%
American International Group Inc. 20,513 25,390 +4,877 +23.78%
Charles Schwab Investment Management Inc. 205,166 250,889 +45,723 +22.29%
Northern Trust Corp 407,341 491,975 +84,634 +20.78%
Legal & General Group Plc 5,713 6,844 +1,131 +19.80%
California State Teachers Retirement System 52,667 62,595 +9,928 +18.85%
BlackRock Inc. 2,815,950 3,322,898 +506,948 +18.00%
Geode Capital Management LLC 498,187 563,801 +65,614 +13.17%
The Manufacturers Life Insurance Company 23,165 25,262 +2,097 +9.05%
Vanguard Group Inc. 1,798,368 1,901,373 +103,005 +5.73%
FMR LLC 6,278,984 6,623,200 +344,216 +5.48%
Jacobs Levy Equity Management Inc. 64,058 67,422 +3,364 +5.25%
Metropolitan Life Insurance Co NY 12,225 12,505 +280 +2.29%
PDT Partners LLC 35,300 35,400 +100 +0.28%
13F Filers Reporting New Positions In SYRS
Proequities Inc. 0 0 UNCH 100%
Acadian Asset Management LLC 0 56,026 +56,026 +100%
Bank of Montreal Can 0 3,325 +3,325 +100%
Group One Trading L.P. 0 200 +200 +100%
Martingale Asset Management L P 0 92,117 +92,117 +100%
State Board of Administration of Florida Retirement System 0 21,395 +21,395 +100%
Renaissance Technologies LLC 0 58,300 +58,300 +100%
Bessemer Group Inc. 0 54,900 +54,900 +100%
Two Sigma Investments LP 0 246,997 +246,997 +100%
Millennium Management LLC 0 153,063 +153,063 +100%
Marshall Wace LLP 0 24,458 +24,458 +100%
ProShare Advisors LLC 0 12,945 +12,945 +100%
Alps Advisors Inc. 0 62,327 +62,327 +100%
Prelude Capital Management LLC 0 14,200 +14,200 +100%
Citadel Advisors LLC 0 12,575 +12,575 +100%
Mitsubishi UFJ Kokusai Asset Management Co. Ltd. 0 20,763 +20,763 +100%
Tower Research Capital LLC TRC 0 8,326 +8,326 +100%
Dynamic Technology Lab Private Ltd 0 12,280 +12,280 +100%
Private Advisor Group LLC 0 300 +300 +100%
Virtus ETF Advisers LLC 0 39,578 +39,578 +100%
Resources Investment Advisors LLC. 0 10,080 +10,080 +100%
13F Filers With Unchanged Share Count
Dimensional Fund Advisors LP 563,772 563,772 UNCH 0.00%
Baker BROS. Advisors LP 690,167 690,167 UNCH 0.00%
Flagship Pioneering Inc. 2,938,494 2,938,494 UNCH 0.00%
Redmile Group LLC 212,291 212,291 UNCH 0.00%
Daiwa Securities Group Inc. 270 270 UNCH 0.00%
MetLife Investment Management LLC 17,288 17,288 UNCH 0.00%
Advisor Group Holdings Inc. 650 650 UNCH 0.00%
13F Filers Decreasing SYRS Share Count
Arch Venture Corp 3,063,817 400,000 -2,663,817 -86.94%
Price T Rowe Associates Inc. MD 87,052 22,503 -64,549 -74.15%
BNP Paribas Arbitrage SA 10,685 3,125 -7,560 -70.75%
Sio Capital Management LLC 468,532 272,902 -195,630 -41.75%
Point72 Asset Management L.P. 2,275,000 1,533,920 -741,080 -32.57%
Susquehanna International Group LLP 33,725 22,742 -10,983 -32.57%
UBS Group AG 16,742 13,009 -3,733 -22.30%
Voya Investment Management LLC 18,594 14,766 -3,828 -20.59%
State of Wisconsin Investment Board 66,700 53,500 -13,200 -19.79%
Bank of America Corp DE 21,500 18,890 -2,610 -12.14%
JPMorgan Chase & Co. 881,537 793,254 -88,283 -10.01%
Samsara BioCapital LLC 1,726,603 1,571,903 -154,700 -8.96%
Nikko Asset Management Americas Inc. 4,925,206 4,713,594 -211,612 -4.30%
Sumitomo Mitsui Trust Holdings Inc. 4,925,206 4,724,774 -200,432 -4.07%
Artal Group S.A. 506,138 490,000 -16,138 -3.19%
Portolan Capital Management LLC 512,570 498,666 -13,904 -2.71%
13F Filers Exiting SYRS
Squarepoint Ops LLC 11,512 0 -11,512 -100.00%
AlpInvest Partners B.V. 15,000 0 -15,000 -100.00%
Victory Capital Management Inc. 3,896 0 -3,896 -100.00%
Deerfield Management Company L.P. Series C 1,268,946 0 -1,268,946 -100.00%
Invesco Ltd. 90,013 0 -90,013 -100.00%

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

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