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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
OA
426
OFI Advisors
Pennsylvania
$195K -$1.11K -22 -0.6%
BA
427
BlackRock Advisors
Delaware
$193K -$1.66K -33 -0.9%
Envestnet Asset Management
428
Envestnet Asset Management
Illinois
$167K -$71.5K -1,418 -31%
CLOS
429
Compagnie Lombard Odier SCmA
Switzerland
$152K
ARMT
430
Amica Retiree Medical Trust
Rhode Island
$131K
GIS
431
Guardian Investor Services
New York
$127K -$4.54K -90 -4%
SF
432
Synovus Financial
Georgia
$119K +$30.4K +603 +37%
FHA
433
First Horizon Advisors
Tennessee
$118K
HCC
434
Hirtle Callaghan & Co
Pennsylvania
$117K
QAM
435
QCI Asset Management
New York
$116K +$34.8K +690 +46%
MCM
436
Manchester Capital Management
Vermont
$107K
AIM
437
Acuity Investment Management
Ontario, Canada
$106K -$166K -3,300 -62%
HSA
438
Hussman Strategic Advisors
Maryland
$106K
GLI
439
Guardian Life Insurance
New York
$93K
CTC
440
Central Trust Company
Missouri
$87K -$59.8K -1,187 -42%
AssetMark Inc
441
AssetMark Inc
California
$87K -$7.61K -151 -8%
PMFA
442
Plante Moran Financial Advisors
Michigan
$79K
PCM
443
Prelude Capital Management
New York
$75K +$48.7K +967 +220%
SAMC
444
Shinko Asset Management Company
Japan
$72K
AR
445
Advisory Research
Illinois
$72K +$68.6K +1,360 New
NIM
446
NuWave Investment Management
New Jersey
$71K -$40.7K -808 -38%
CG
447
Colony Group
Massachusetts
$71K +$9.07K +180 +15%
WA
448
WFG Advisors
Texas
$68K +$9.22K +183 +17%
WTC
449
WhitTier Trust Company
Nevada
$63K -$66.1K -1,312 -52%
DSC
450
Duncker Streett & Co
Missouri
$58K