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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
TH
351
TCTC Holdings
Texas
$7.58M -$84.5K -537 -1%
X
352
Xponance
Pennsylvania
$7.56M -$603K -3,828 -7%
HIMCH
353
Hartford Investment Management Co (HIMCO)
Connecticut
$7.32M +$74K +470 +0.9%
RC
354
Raine Capital
New York
$7.3M
Cambridge Investment Research Advisors
355
Cambridge Investment Research Advisors
Iowa
$7.11M +$229K +1,455 +3%
MA
356
Montag & Associates
Georgia
$7.09M +$197K +1,254 +3%
NCM
357
Narwhal Capital Management
Georgia
$7.04M +$836K +5,313 +12%
Axa
358
Axa
France
$6.96M -$67.5K -429 -0.9%
OC
359
Oppenheimer & Co
New York
$6.95M +$1.29M +8,188 +21%
SCA
360
Stonebridge Capital Advisors
Minnesota
$6.94M +$23.6K +150 +0.3%
PA
361
Profund Advisors
Maryland
$6.89M -$1.71M -10,881 -19%
PM
362
Phraction Management
Connecticut
$6.74M +$719K +4,570 +11%
Bank of Nova Scotia
363
Bank of Nova Scotia
Ontario, Canada
$6.72M -$49.2M -312,625 -87%
CM
364
Crestline Management
Texas
$6.7M +$2.45M +15,568 +51%
DT
365
Diversified Trust
Tennessee
$6.58M -$310K -1,968 -4%
Calamos Advisors
366
Calamos Advisors
Illinois
$6.57M +$7.08M +45,000 New
GLA
367
Great Lakes Advisors
Illinois
$6.5M +$327K +2,074 +5%
PAM
368
Panagora Asset Management
Massachusetts
$6.47M +$3.51M +22,324 +102%
MCG
369
McCollum Christoferson Group
New York
$6.39M -$11.3K -72 -0.2%
CA
370
Cullinan Associates
Kentucky
$6.33M -$301K -1,911 -4%
FAB
371
First American Bank
Illinois
$6.32M +$320K +2,033 +5%
SAM
372
Securian Asset Management
Minnesota
$6.21M -$49.3K -313 -0.7%
CAPTRUST Financial Advisors
373
CAPTRUST Financial Advisors
North Carolina
$6.19M +$257K +1,635 +4%
NME
374
Notis-McConarty Edward
$6.19M +$19.8K +126 +0.3%
Dodge & Cox
375
Dodge & Cox
California
$6.13M -$59.4K -377 -0.9%