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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
RCYC
326
Richard C. Young & Co
Rhode Island
$13.2M -$189K -982 -1%
MOACM
327
Mutual of America Capital Management
New York
$12.9M -$328K -1,704 -3%
SAM
328
Storebrand Asset Management
Norway
$12.8M -$192 -1 -0%
CAN
329
Cetera Advisor Networks
California
$12.8M +$69.6K +362 +0.6%
PMG
330
ProVise Management Group
Florida
$12.8M +$568K +2,955 +5%
PGFC
331
Peapack-Gladstone Financial Corp
New Jersey
$12.6M +$85.2K +443 +0.7%
SCM
332
Shelton Capital Management
Colorado
$12.4M +$260K +1,352 +2%
JGC
333
J. Goldman & Co
New York
$12.4M +$12M +62,581 New
MCM
334
Maytus Capital Management
New York
$12.4M +$2.86M +14,900 +31%
AssetMark Inc
335
AssetMark Inc
California
$11.8M +$1.36M +7,078 +13%
BCIM
336
British Columbia Investment Management
British Columbia, Canada
$11.8M +$401K +2,085 +4%
SG
337
Sienna Gestion
France
$11.6M +$11.3M +58,804 New
MJP
338
Michael J. Puzo
$11.5M +$642K +3,340 +6%
Optiver Holding
339
Optiver Holding
Netherlands
$11.5M +$11.2M +58,318 New
DP
340
Dearborn Partners
Illinois
$11.5M +$383K +1,990 +4%
Fidelity International
341
Fidelity International
Bermuda
$11.4M +$3.37M +17,544 +44%
Axa
342
Axa
France
$11.3M -$3.75M -19,499 -25%
FDP
343
Financiere des Professionnels
Quebec, Canada
$11.2M – – –
FAB
344
First American Bank
Illinois
$11.1M +$417K +2,168 +4%
Osaic Holdings
345
Osaic Holdings
Arizona
$10.9M -$11.6M -60,338 -52%
CWM
346
Calamos Wealth Management
Illinois
$10.9M +$2.2M +11,438 +26%
SWK
347
Stephen W. Kidder
$10.7M -$915K -4,758 -8%
GLA
348
Great Lakes Advisors
Illinois
$10.7M +$407K +2,116 +4%
SOADOR
349
State of Alaska Department of Revenue
Alaska
$10.6M – – –
ROC
350
Running Oak Capital
Minnesota
$10.6M +$1.14M +5,938 +12%