Fairfax Financial Holdings
Merck & Co Inc · NASDAQ
172,900 sh · $22.2M
BlackRock
13F filer
$29.17B
226,999,837 sh
Bridgewater Associates
13F filer
$32.7M
310,221 sh
Fairfax Financial Holdings
13F filer
$22.2M
172,900 sh
Two Sigma Investments
13F filer
$21.5M
178,525 sh
Dodge & Cox
13F filer
$17.4M
135,750 sh
Gardner Russo & Quinn
13F filer
$211.0K
1,642 sh
Fairfax Financial Holdings
Merck & Co Inc · NASDAQ
172,900 sh · $22.2M
BlackRock
Merck & Co Inc · NASDAQ
226,999,837 sh · $29.17B
Gardner Russo & Quinn
Merck & Co Inc · NASDAQ
1,642 sh · $211.0K
Dodge & Cox
Merck & Co Inc · NASDAQ
135,750 sh · $17.4M
Dodge & Cox
Merck & Co Inc · NASDAQ
136,050 sh · $16.4M
Fairfax Financial Holdings
Merck & Co Inc · NASDAQ
172,900 sh · $20.8M
BlackRock
Merck & Co Inc · NASDAQ
225,926,330 sh · $27.18B
Two Sigma Investments
Merck & Co Inc · NASDAQ
178,525 sh · $21.5M
Gardner Russo & Quinn
Merck & Co Inc · NASDAQ
2,141 sh · $257.5K
BlackRock
Merck & Co Inc · NASDAQ
219,095,465 sh · $23.06B