Who owns Network 1 Sec Solutions?

Tip: Access positions for across all investors

Analyze quarterly positions in Network 1 Sec Solutions with up to 7 years of data, all consolidated into one spreadsheet

Download as csvDownload consolidated filings csv Download as ExcelDownload consolidated filings xlsx

Top investors of Network 1 Sec Solutions stock

Who bought or sold Network 1 Sec Solutions this quarter?

Fund or Company Name Shares Held Valued At Change in Shares As Of Actions
Cannell Capital 1.1M $1.6M 0% Mar 2026
 View chart
Clayton Partners 979k $1.4M -4% Mar 2026
 View chart
Vanguard Capital Management 502k $723k 100% Mar 2026
 View chart
Renaissance Technologies 461k $665k -1% Mar 2026
 View chart
Liz Grodski 330k $475k 0% Mar 2026
 View chart
Canton Hathaway 281k $404k 311% Mar 2026
 View chart
Pnc Financial Services 270k $389k 0% Mar 2026
 View chart
Dimensional Fund Advisors 232k $334k -2% Mar 2026
 View chart
Bridgeway Capital Management 129k $186k 0% Mar 2026
 View chart
Empowered Funds 98k $141k 0% Mar 2026
 View chart
Geode Capital Management 97k $140k -24% Mar 2026
 View chart
Vanguard Fiduciary Trust 80k $115k 100% Mar 2026
 View chart
Citadel Advisors 72k $103k 122% Mar 2026
 View chart
State Street Corporation 46k $67k 0% Mar 2026
 View chart
Northern Trust 40k $58k 0% Mar 2026
 View chart
Green Square Asset Management 32k $46k -12% Mar 2026
 View chart
Savvy Advisors 16k $23k 0% Mar 2026
 View chart
National Bank Of Canada /fi/ 6.0k $8.6k 50% Mar 2026
 View chart
Vanguard Global Advisers 3.8k $5.5k 100% Mar 2026
 View chart
Tower Research Capital 3.5k $5.0k 27% Mar 2026
 View chart
UBS Group 1.1k $1.1k 107900% Mar 2026
 View chart
Royal Bank of Canada 854.00 $1.0k 100% Mar 2026
 View chart
MAI Wealth Advisors 105.00 $151.998000 3% Mar 2026
 View chart
SBI Securities 4.00 $6.000000 0% Mar 2026
 View chart
Morgan Stanley 3.00 $5.000100 50% Mar 2026
 View chart

Who sold out of Network 1 Sec Solutions?

Fund or Company Name Date Sold Shares Held Valued At
Advisor Group Holdings Dec 2025 642.00 $841.020000