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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
2
301
2Xideas
Switzerland
$11.5M +$12.4M +78,575 New
FI
302
Fosun International
China
$11.2M
COPPSERS
303
Commonwealth of Pennsylvania Public School Employees Retirement System
Pennsylvania
$11.1M +$929K +5,904 +8%
QIM
304
Quest Investment Management
Oregon
$11.1M -$251K -1,595 -2%
AQR Capital Management
305
AQR Capital Management
Connecticut
$11M -$3.38M -21,450 -22%
SOADOR
306
State of Alaska Department of Revenue
Alaska
$11M +$193K +1,225 +2%
BCM
307
Bridgeway Capital Management
Texas
$10.9M +$268K +1,700 +2%
YCM
308
Yousif Capital Management
Michigan
$10.9M -$314K -1,992 -3%
SLAM
309
Swiss Life Asset Management
$10.9M -$359K -2,282 -3%
BCB
310
Brian C. Broderick
$10.9M -$73.2K -465 -0.6%
Daiwa Securities Group
311
Daiwa Securities Group
Japan
$10.7M +$244K +1,552 +2%
MOACM
312
Mutual of America Capital Management
New York
$10.4M +$196K +1,246 +2%
TCOV
313
Trust Company of Vermont
Vermont
$10.4M -$169K -1,075 -1%
SAM
314
SP Asset Management
California
$10.4M +$74.8K +475 +0.7%
CWM
315
Congress Wealth Management
Massachusetts
$10.3M -$88.3K -561 -0.8%
Creative Planning
316
Creative Planning
Kansas
$10.2M +$2.62M +16,671 +31%
TPSF
317
Texas Permanent School Fund
Texas
$10.1M +$155K +982 +1%
DZ Bank
318
DZ Bank
Germany
$9.97M -$2.06M -13,068 -16%
RCYC
319
Richard C. Young & Co
Rhode Island
$9.97M -$53.4K -339 -0.5%
NC
320
Nicholas Company
Wisconsin
$9.86M -$131K -830 -1%
LSERS
321
Louisiana State Employees Retirement System
Louisiana
$9.83M -$31.5K -200 -0.3%
PHK
322
Point72 Hong Kong
Hong Kong
$9.8M +$9.6M +60,961 +994%
RJT
323
Raymond James Trust
Florida
$9.16M +$346K +2,196 +4%
IAIM
324
Industrial Alliance Investment Management
Quebec, Canada
$8.95M -$97K -616 -1%
SCM
325
Shelton Capital Management
Colorado
$8.94M -$9.6K -61 -0.1%