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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
Commonwealth Equity Services
226
Commonwealth Equity Services
Massachusetts
$2.37M +$331K +5,841 +18%
M
227
MOTCO
Texas
$2.35M +$215K +3,798 +11%
CB
228
Chemical Bank
Michigan
$2.34M
B
229
BP
United Kingdom
$2.33M
Asset Management One
230
Asset Management One
Japan
$2.32M +$382K +6,730 +23%
NMERB
231
New Mexico Educational Retirement Board
New Mexico
$2.28M -$108K -1,900 -5%
WAM
232
World Asset Management
Michigan
$2.27M -$20.5K -361 -1%
AAF
233
Andra AP-fonden
Sweden
$2.25M -$45.4K -800 -2%
COPPSERS
234
Commonwealth of Pennsylvania Public School Employees Retirement System
Pennsylvania
$2.25M -$1.19M -21,033 -37%
FNT
235
First National Trust
Pennsylvania
$2.24M -$289K -5,092 -13%
CSS
236
Cubist Systematic Strategies
Connecticut
$2.22M +$276K +4,868 +16%
FWCM
237
Ferguson Wellman Capital Management
Oregon
$2.14M -$47.9K -844 -2%
Rafferty Asset Management
238
Rafferty Asset Management
New York
$2.14M -$365K -6,428 -16%
Axa
239
Axa
France
$2.13M -$140K -2,460 -7%
LS
240
Livforsakringsbolaget Skandia
Sweden
$2.12M +$448K +7,900 +31%
LPL Financial
241
LPL Financial
California
$2.07M -$131K -2,310 -7%
Mirae Asset Global Investments
242
Mirae Asset Global Investments
South Korea
$2.06M +$831K +14,649 +81%
GL
243
GLG LLC
New York
$2.05M -$11.5K -202 -0.6%
CFB
244
Cullen/Frost Bankers
Texas
$2.05M +$142K +2,500 +8%
FC
245
FCA Corp
Texas
$2.03M +$22.4K +395 +1%
BF
246
BOK Financial
Oklahoma
$1.98M +$382K +6,729 +27%
CG
247
Clinton Group
New York
$1.95M -$601K -10,589 -25%
GH
248
GAM Holding
Switzerland
$1.9M
SCM
249
Shelton Capital Management
Colorado
$1.89M +$122K +2,157 +8%
AMI
250
Amica Mutual Insurance
Rhode Island
$1.89M