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Price T Rowe Group Inc  (TROW)
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    Sector  Financial    Industry Investment Services
   Industry Investment Services
   Sector  Financial
 

Suppliers by TROW's Divisions

(Most recent Quarter in Millions of $)


COMPANY NAME TICKER DIVISION NAME REVENUE INCOME MARGIN
Price T Rowe Group Inc TROW Total 1,863.0 514.4 27.61 %
Cisco Systems Inc. CSCO Total 12,835.0 3,044.0 23.72 %
Adobe Inc. ADBE Total 4,386.0 1,178.0 26.86 %
Dell Technologies Inc. DELL Total 26,116.0 1,069.0 4.09 %
Fiserv Inc FISV Financial 714.0 217.0 30.39 %
Hp inc. HPQ Enterprise Systems 7,007.0 912.0 13.02 %
Hp inc. HPQ Total 16,490.0 1,000.0 6.06 %
International Business Machines Corporation IBM Hardware 1,492.0 -24.0 -
International Business Machines Corporation IBM Software 5,136.0 1,899.0 36.97 %
Moody s Corporation MCO Total Investors Services 571.6 286.6 50.14 %
Netapp Inc. NTAP Total 2,498.0 259.0 10.37 %
Oracle Corporation ORCL Total 22,845.0 3,188.0 13.95 %
Pitney Bowes Inc PBI Global Mailing 457.8 170.1 37.15 %
Unisys Corp UIS Total Services 656.0 91.3 13.92 %
Unisys Corp UIS Total Technology 83.2 49.3 59.25 %
Deluxe Corporation DLX Financial Services 110.9 23.4 21.07 %
Deluxe Corporation DLX Direct Checks 40.0 14.1 35.37 %
Moody s Corporation MCO Total 1,522.0 498.0 32.72 %
Salesforce Inc. CRM Total 7,411.0 28.0 0.38 %
Fidelity National Information Services Inc FIS Transaction Processing Services 609.1 116.9 19.19 %
Nasdaq Inc NDAQ Total 1,473.0 283.0 19.21 %
Cme Group Inc CME Total 1,346.6 711.0 52.8 %
Intercontinental Exchange Inc ICE Total 2,460.0 667.0 27.11 %
Dell Technologies Inc. DELL Storage 424.0 0.0 -
Dell Technologies Inc. DELL Business 11,522.0 1,014.0 8.8 %
Accenture Plc ACN Financial Services 1,638.0 266.0 16.24 %
Intercontinental Exchange Inc ICE Market Data 209.0 0.0 -
Bgc Partners Inc BGCP Total 506.5 30.7 6.06 %
United States Brent Oil Fund Lp BNO Total 0.0 89.9 210441.56 %
Bf Garden Tax Credit Fund Iv l.p. BCTC4 Total 0.1 1.6 2754.11 %
Bf Garden Tax Credit Fund V L.p. BCTC5 Total 0.0 1.1 5070.98 %
Cboe Global Markets inc CBOE Total 974.5 109.6 11.25 %
Invesco Db Commodity Index Tracking Fund DBC Total 122.1 764.2 626.1 %
Cowen Inc COWN Total 410.6 55.1 13.43 %
Invesco Db Agriculture Fund DBA Total 46.0 119.4 259.73 %
Invesco Db Base Metals Fund DBB Total 14.9 89.8 602.73 %
Invesco Db Energy Fund DBE Total 3.1 43.3 1396.9 %
Invesco Db Oil Fund DBO Total 19.9 118.4 596.61 %
Invesco Db Precious Metals Fund DBP Total 4.6 7.3 157.81 %
Invesco Db Silver Fund DBS Total 0.3 1.4 460.79 %
Invesco Db Gold Fund DGL Total 4.5 4.7 104.04 %
Invesco Db G10 Currency Harvest fund DBV Total 1.1 1.6 140.15 %
Futures Portfolio Fund L.p. FPF Total 36.5 16.6 45.55 %
Spdr Gold Trust GLD Total -61.1 3,923.2 -
Ishares S and p Gsci Commodity indexed Trust GSG Total 0.4 508.8 113601.07 %
Ishares Gold Trust IAU Total 62.2 1,925.4 3094.86 %
Marketaxess Holdings Inc MKTX Total 186.1 64.8 34.8 %
Morningstar inc MORN Total 462.2 56.5 12.22 %
Ishares Silver Trust SLV Total 71.2 929.6 1305.8 %
Invesco Db Us Dollar Index Bearish Fund UDN Total -1.2 -1.5 -
Invesco Db Us Dollar Index Bullish fund UUP Total 23.0 23.6 102.39 %
United States Gasoline Fund Lp UGA Total 25.4 25.2 99.14 %
United States 12 month Natural Gas Fund Lp UNL Total 10.2 10.1 99.46 %
United States Commodity Index Funds Trust USCI Total 65.9 78.7 119.44 %
United States 12 month Oil Fund Lp USL Total 42.7 42.3 99.22 %
United States Oil Fund Lp USO Total 823.4 818.9 99.45 %
Value Line Inc VALU Total 10.3 5.6 54.74 %
Virtu Financial inc VIRT Total 701.3 199.9 28.51 %
Oppenheimer Holdings Inc OPY Total 266.0 9.8 3.68 %
Cpi Card Group Inc PMTS Total 156.7 6.0 3.83 %
American Equity Investment Life Holding Co AEL Total 147.8 566.2 383.1 %
Amerinst Insurance Group Ltd AIGT Total 0.8 -0.2 -
Electronic Systems Technology Inc ELST Total 0.5 -0.0 -
Aci Worldwide Inc ACIW Total 323.1 15.5 4.79 %
Blackbaud Inc BLKB Total 257.1 -10.4 -
Cleartronic Inc CLRI Total 0.5 0.1 22.45 %
Bottomline Technologies Inc EPAY Total 131.8 -7.5 -
Hubspot Inc HUBS Total 395.6 -9.3 -
Mcx Technologies Corp MCCX Total 0.0 -0.2 -
Microstrategy Incorporated MSTR Total 119.3 -130.8 -
New Relic Inc. NEWR Total 205.8 -56.4 -
Nutanix Inc. NTNX Total 403.7 -111.6 -
Splunk Inc. SPLK Total 674.1 -304.3 -
Ss and c Technologies Holdings Inc SSNC Total 1,295.0 171.3 13.23 %
Upland Software Inc UPLD Total 78.7 -22.8 -
Appian Corporation APPN Total 114.3 -23.2 -
Bridgeline Digital Inc BLIN Total 4.1 0.3 8.4 %
Alpine 4 Holdings Inc. ALPP Total 25.6 -4.2 -
Datadog Inc DDOG Total 363.0 9.7 2.68 %
Zscaler Inc. ZS Total 286.8 -101.4 -
Cloudflare Inc NET Total 212.2 -41.4 -
APROX. MARKET   SUBTOTAL 140,082 26,982 19.26 %





       
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