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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
WSA
426
Wall Street Associates
California
$249K
OC
427
Oakworth Capital
Alabama
$244K
LH
428
Lebenthal Holdings
New York
$241K +$20.6K +385 +10%
CB
429
Commerce Bank
Missouri
$239K -$23.1K -432 -10%
CL
430
CPWM LLC
Washington
$237K +$14.7K +276 +7%
CCA
431
Checchi Capital Advisers
California
$237K +$16.6K +311 +8%
QI
432
QS Investors
New York
$232K -$26.5K -497 -11%
AP
433
Advisor Partners
California
$215K -$2.94K -55 -1%
WT
434
Whittier Trust
California
$215K
PGFC
435
Peapack-Gladstone Financial Corp
New Jersey
$214K +$193K +3,613 New
SCM
436
SKBA Capital Management
California
$213K -$42.7K -800 -18%
CCM
437
Catawba Capital Management
Virginia
$210K -$4K -75 -2%
JMFC
438
J.M. Forbes & Co
Massachusetts
$210K +$190K +3,557 New
HPC
439
HM Payson & Co
Maine
$207K +$187K +3,500 New
SS
440
Sunbelt Securities
Texas
$206K +$186K +3,475 New
DADC
441
D.A. Davidson & Co
Montana
$201K +$29.6K +555 +19%
Cohen & Steers
442
Cohen & Steers
New York
$195K -$16K -300 -8%
FMLI
443
Fukoku Mutual Life Insurance
Japan
$172K
MAM
444
Mizuho Asset Management
Japan
$149K -$73.6K -1,378 -37%
HSA
445
Hussman Strategic Advisors
Maryland
$148K -$6.54M -122,500 -98%
ARMT
446
Amica Retiree Medical Trust
Rhode Island
$145K
FIB
447
First Interstate Bank
Montana
$141K
Toronto Dominion Bank
448
Toronto Dominion Bank
Ontario, Canada
$140K -$384K -7,200 -75%
JIM
449
Jupiter Investment Management
United Kingdom
$136K -$6.63M -124,170 -98%
SF
450
Synovus Financial
Georgia
$136K +$48.1K +900 +64%