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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
ARMC
301
American Research & Management Company
Massachusetts
$14.6M -$1.26M -7,095 -8%
QIM
302
Quest Investment Management
Oregon
$14.4M -$367K -2,073 -2%
MSL
303
Mackay Shields LLC
New York
$14.1M -$352K -1,986 -2%
SLAM
304
Swiss Life Asset Management
$14.1M +$398K +2,244 +3%
DP
305
Dearborn Partners
Illinois
$14.1M +$122K +691 +0.9%
APG Asset Management
306
APG Asset Management
Netherlands
$14M -$30.9M -174,238 -66%
CRB
307
Chad R. Baker
$13.9M
NEI
308
Northwest & Ethical Investments
Ontario, Canada
$13.8M +$5.38M +30,365 +63%
PA
309
Profund Advisors
Maryland
$13.7M +$272K +1,534 +2%
YCM
310
Yousif Capital Management
Michigan
$13.7M +$13.8M +77,997 New
BNP Paribas Asset Management
311
BNP Paribas Asset Management
France
$13.7M +$455K +2,569 +3%
SOADOR
312
State of Alaska Department of Revenue
Alaska
$13.7M -$838K -4,730 -6%
HCM
313
Hilton Capital Management
New York
$13.5M +$422K +2,383 +3%
Thrivent Financial for Lutherans
314
Thrivent Financial for Lutherans
Minnesota
$13.3M -$6.8M -38,390 -34%
II
315
IFM Investors
Australia
$13.2M -$180K -1,014 -1%
BCB
316
Brian C. Broderick
$13.2M +$274K +1,545 +2%
TPSF
317
Texas Permanent School Fund
Texas
$13M -$1.59M -8,972 -11%
GI
318
Gradient Investments
Minnesota
$12.8M +$180K +1,018 +1%
AAF
319
Andra AP-fonden
Sweden
$12.7M -$7.6M -42,900 -37%
TPM
320
Totem Point Management
New York
$12.7M +$2.98M +16,836 +30%
FHA
321
First Horizon Advisors
Tennessee
$12.7M +$609K +3,438 +5%
Pacer Advisors
322
Pacer Advisors
Pennsylvania
$12.6M +$4.79M +27,005 +60%
TCOV
323
Trust Company of Vermont
Vermont
$12.6M -$193K -1,090 -1%
MLICM
324
Metropolitan Life Insurance Company (MetLife)
New York
$12.5M -$256K -1,444 -2%
MOACM
325
Mutual of America Capital Management
New York
$12.5M -$1.35M -7,640 -10%