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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
HFS
351
HL Financial Services
Kentucky
$691K +$133K +2,486 +27%
PP
352
Paloma Partners
Connecticut
$674K -$2.23M -41,703 -79%
SAM
353
Shamrock Asset Management
Texas
$657K -$563K -10,547 -49%
AIP
354
Ameritas Investment Partners
Nebraska
$655K +$4.17K +78 +0.7%
OCG
355
Opus Capital Group
Ohio
$650K +$32.8K +615 +6%
Susquehanna International Group
356
Susquehanna International Group
Pennsylvania
$645K -$1.04M -19,522 -64%
FAAS
357
First Allied Advisory Services
California
$639K +$53 +1 +0%
PSUF
358
People's United Financial
Connecticut
$628K +$5.29K +99 +0.9%
CK
359
Carnick & Kubik
Colorado
$608K +$549K +10,278 New
HK
360
Horizon Kinetics
New York
$607K
HCA
361
Harbour Capital Advisors
Virginia
$605K +$124K +2,325 +29%
SAM
362
Silvercrest Asset Management
New York
$604K -$128K -2,392 -19%
IG
363
ING Group
Netherlands
$592K -$1.57M -29,370 -75%
SACTSONJ
364
Supplemental Annuity Collective Trust (SACT) of New Jersey
New Jersey
$592K
CIBC World Market
365
CIBC World Market
Ontario, Canada
$592K +$174K +3,264 +48%
PCM
366
Palisade Capital Management
New Jersey
$576K -$95.8K -1,794 -16%
SSG
367
Summit Securities Group
New York
$568K +$513K +9,603 New
Pacer Advisors
368
Pacer Advisors
Pennsylvania
$552K +$7.05K +132 +1%
LIA
369
LS Investment Advisors
Michigan
$549K +$13.2K +247 +3%
V
370
Veritable
Delaware
$543K -$157K -2,932 -24%
Thrivent Financial for Lutherans
371
Thrivent Financial for Lutherans
Minnesota
$541K -$1.36M -25,440 -74%
TU
372
TDAM USA
Ontario, Canada
$533K -$27.7K -519 -5%
BRCM
373
Bright Rock Capital Management
Massachusetts
$533K
B
374
Barings
North Carolina
$532K -$331K -6,200 -41%
FHA
375
First Horizon Advisors
Tennessee
$518K +$12.1K +226 +2%