Arrow Financial Corp (AROW) Latest Bloomsberg Price


Mffais Ranking #1140 Overall / #129 Industry
Industry: Banks

Number of Companies: 45 (Ranking #2402 Overall/#166 Industry)
Inflow: $ 2,186 (K) (Ranking #2517 Overall/#198 Industry)
Outflow: $ -1,625 (K)
Mffais Flow: $ 560 (K) (Ranking #1140 Overall/#129 Industry)


Receive a FREE weekly executive review of stocks moving into the top 10, taking the top industy spot or moving up within their industry. Sent directly to your Inbox every Saturday. Sign up today and get last week's review immediately sent to you.

We value and respect your privacy. Please read our Terms and Conditions which states our firm commitment to your privacy. Your email address will not be shared with a third party, nor will it be sold or used for purposes other than subscription for the weekly review.

Owner CPOR Shares Action Qty Chg Invested (K) Total Current Value (K)
Coldstream Capital Management Inc 2016-06-30 25,275 Added More 15,823 $ 479 $ 765
Trust Co Of Vermont 2016-06-30 19,012 Added More 13,965 $ 423 $ 575
First Trust Advisors Lp 2016-06-30 20,998 Added More 11,921 $ 361 $ 636
Wedge Capital Management L L P Nc 2016-06-30 37,498 Added More 6,436 $ 194 $ 1,135
Schwab Charles Investment Management Inc 2016-03-31 42,281 Added More 5,316 $ 141 $ 1,123
Smith Asset Management Group Lp 2016-06-30 10,830 Added More 4,400 $ 133 $ 328
New York State Common Retirement Fund 2016-06-30 13,500 Added More 3,300 $ 99 $ 408
Blackrock Inc 2016-06-30 4,134 Added More 2,977 $ 90 $ 125
Blackrock Investment Management Llc 2016-06-30 46,036 Added More 2,563 $ 77 $ 1,394
Rhumbline Advisers 2016-03-31 18,729 Added More 1,565 $ 41 $ 497
Next Financial Group Inc 2016-06-30 2,500 Added More 1,000 $ 30 $ 75
Community Bank N A 2016-06-30 6,706 Added More 504 $ 15 $ 203
Bnp Paribas Arbitrage Sa 2016-06-30 432 New Holding 432 $ 13 $ 13
Tower Research Capital Llc Trc 2016-06-30 529 Added More 417 $ 12 $ 16
Northern Trust Corp 2016-03-31 168,583 Added More 473 $ 12 $ 4,479
Metlife Securities Inc 2016-06-30 3,830 Added More 392 $ 11 $ 116
Fifth Third Bancorp 2016-03-31 375 New Holding 375 $ 9 $ 9
American International Group Inc 2016-03-31 6,925 Added More 365 $ 9 $ 183
Ifp Advisors Inc 2016-03-31 340 New Holding 340 $ 9 $ 9
Two Sigma Advisers Llc 2016-03-31 13,177 Added More 246 $ 6 $ 350
Brandywine Global Investment Management Llc 2016-03-31 4,536 Added More 200 $ 5 $ 120
Oshaughnessy Asset Management Llc 2016-03-31 194 New Holding 194 $ 5 $ 5
Teacher Retirement System Of Texas 2016-06-30 4,912 Added More 69 $ 2 $ 148
Denali Advisors Llc 2016-06-30 154 Added More 34 $ 1 $ 4
Legal General Group Plc 2016-03-31 1,840 No Change 0 $ 0 $ 48
Sei Investments Co 2016-03-31 1,641 No Change 0 $ 0 $ 43
Metropolitan Life Insurance Co Ny 2016-03-31 8,373 No Change 0 $ 0 $ 222
United Capital Financial Advisers Llc 2016-03-31 12,661 No Change 0 $ 0 $ 336
Teachers Advisors Inc 2016-03-31 18,459 No Change 0 $ 0 $ 490
Analytic Investors Llc 2016-03-31 18,453 No Change 0 $ 0 $ 490
Nationwide Fund Advisors 2016-06-30 7,753 No Change 0 $ 0 $ 234
Creative Planning 2016-06-30 27 No Change 0 $ 0 $ 0
Private Advisor Group Llc 2016-06-30 8,430 No Change 0 $ 0 $ 255
Swiss National Bank 2016-06-30 20,372 No Change 0 $ 0 $ 617
Nisa Investment Advisors L L C 2016-06-30 1,326 No Change 0 $ 0 $ 40
Adirondack Trust Co 2016-06-30 2,356 No Change 0 $ 0 $ 71
Pnc Financial Services Group Inc 2016-06-30 94 Sold Some -4 $ -0 $ 2
California State Teachers Retirement System 2016-06-30 23,045 Sold Some -905 $ -27 $ 698
California Public Employees Retirement System 2016-06-30 47,221 Sold Some -1,000 $ -30 $ 1,430
Parametric Portfolio Associates Llc 2016-03-31 40,412 Sold Some -1,144 $ -30 $ 1,073
Los Angeles Capital Management Equity Research Inc 2016-06-30 7,258 Sold Some -1,120 $ -33 $ 219
Russell Frank Co 2016-03-31 0 Sold All -1,428 $ -37 $ 0
Prudential Financial Inc 2016-06-30 30,412 Sold Some -3,500 $ -106 $ 921
Peoples United Financial Inc 2016-06-30 34,377 Sold Some -13,965 $ -423 $ 1,041
Arrow Financial Corp 2016-06-30 1,354,169 Sold Some -30,926 $ -936 $ 41,017