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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
CWM
426
CIBC World Markets
New York
$383K -$915K -14,760 -71%
Brown Advisory
427
Brown Advisory
Maryland
$383K +$73.9K +1,192 +25%
TMAM
428
Tokio Marine Asset Management
Japan
$375K -$138K -2,223 -28%
CCIA
429
Campbell & Co Investment Adviser
Maryland
$375K +$361K +5,825 New
Tudor Investment Corp
430
Tudor Investment Corp
Connecticut
$374K +$360K +5,800 New
IFS
431
Ifrah Financial Services
Arkansas
$357K +$344K +5,541 New
EMG
432
Ellington Management Group
Connecticut
$354K +$341K +5,500 New
O
433
OppenheimerFunds
New York
$350K +$15.7K +253 +5%
LP
434
LMR Partners
United Kingdom
$350K +$337K +5,431 New
EHWM
435
Eads & Heald Wealth Management
Georgia
$349K -$6.2K -100 -2%
ARTA
436
A.R.T. Advisors
New York
$341K -$4.73M -76,206 -93%
LNWWM
437
Laird Norton Wetherby Wealth Management
California
$340K +$11.7K +188 +4%
JG
438
Jefferies Group
New York
$337K +$324K +5,222 New
SCI
439
S&CO Inc
Massachusetts
$322K
WJA
440
Williams Jones & Associates
New York
$313K +$15.5K +250 +5%
CA
441
Commerzbank Aktiengesellschaft
Germany
$311K -$586K -9,441 -66%
PNC
442
Park National Corp
Ohio
$311K -$60.5K -975 -17%
ACM
443
Azimuth Capital Management
Michigan
$310K +$6.2K +100 +2%
BFO
444
Boston Family Office
Massachusetts
$308K -$113K -1,825 -28%
LPL Financial
445
LPL Financial
California
$305K -$2.17M -34,995 -88%
B
446
Barings
North Carolina
$304K
PA
447
Probity Advisors
Texas
$303K -$16.5K -266 -5%
CS
448
Credential Securities
$303K +$291K +4,695 New
SO
449
STRS Ohio
Ohio
$302K -$204K -3,297 -41%
AG
450
Advisor Group
Arizona
$302K -$5.02K -81 -2%