Lacerte Rene A.
Bill Holdings Inc · NASDAQ
−26,974 sh · $1.3M
BlackRock
13F filer
$259.9M
4,939,349 sh
ARK Investment Management
13F filer
$8.0M
151,654 sh
Soros Fund Management
13F filer
$4.1M
106,925 sh
Two Sigma Investments
13F filer
$3.2M
82,984 sh
Bridgewater Associates
13F filer
$2.5M
65,743 sh
Lacerte Rene A.
Bill Holdings Inc · NASDAQ
−26,974 sh · $1.3M
Lacerte Rene A.
Bill Holdings Inc · NASDAQ
−24,364 sh · $1.2M
Lacerte Rene A.
Bill Holdings Inc · NASDAQ
−11,765 sh · $564.9K
Lacerte Rene A.
Bill Holdings Inc · NASDAQ
−15,372 sh · $768.8K
Lacerte Rene A.
Bill Holdings Inc · NASDAQ
−10,970 sh · $547.0K
Lacerte Rene A.
Bill Holdings Inc · NASDAQ
−5,752 sh · $291.2K
Lacerte Rene A.
Bill Holdings Inc · NASDAQ
−100,899 sh · $4.9M
Lacerte Rene A.
Bill Holdings Inc · NASDAQ
−10,154 sh · $512.8K
Lacerte Rene A.
Bill Holdings Inc · NASDAQ
−10,636 sh · $510.7K
Lacerte Rene A.
Bill Holdings Inc · NASDAQ
−40,357 sh · $1.9M