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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
PFPG
451
Pinnacle Financial Partners (Georgia)
Georgia
$16.7M +$352K +889 +2%
SCM
452
Steadfast Capital Management
New York
$16.5M +$16.4M +41,500 New
HPCM
453
Hunter Perkins Capital Management
Illinois
$16.5M -$778K -1,966 -5%
ETC
454
Exchange Traded Concepts
Oklahoma
$16.4M +$3.25M +8,216 +25%
EI
455
Ethic Inc
New York
$16.4M +$1.96M +4,952 +14%
GIM
456
Goelzer Investment Management
Indiana
$16.1M -$510K -1,288 -3%
A
457
Allianz
Germany
$16.1M
AT
458
Avalon Trust
New Mexico
$15.8M -$295K -746 -2%
ASN
459
Advisory Services Network
Georgia
$15.8M -$1.29M -3,253 -8%
HFM
460
Harvest Fund Management
China
$15.7M +$55.4K +140 +0.4%
NGA
461
Naples Global Advisors
Florida
$15.6M -$157K -396 -1%
TRSOTSOK
462
Teachers Retirement System of the State of Kentucky
Kentucky
$15.5M
CWP
463
Cyndeo Wealth Partners
Florida
$15.4M +$553K +1,396 +4%
GXJ
464
Global X Japan
Japan
$15.3M +$5.89M +14,874 +63%
MSU
465
Mizuho Securities USA
New York
$15.2M +$3.44M +8,681 +29%
BCAM
466
Boston Common Asset Management
Massachusetts
$15.2M -$1.32M -3,345 -8%
SW
467
SteelPeak Wealth
California
$15M +$14.9M +37,665 New
LRPA
468
L. Roy Papp & Associates
Arizona
$14.9M +$325K +822 +2%
IGM
469
Incline Global Management
New York
$14.8M +$14.8M +37,353 New
CSUI
470
Cincinnati Specialty Underwriters Insurance
Ohio
$14.8M
GIBU
471
Gulf International Bank (UK)
United Kingdom
$14.8M -$257K -649 -2%
DRD
472
Dennis R. Delaney
$14.8M -$1.26M -3,183 -8%
TRCT
473
Tower Research Capital (TRC)
New York
$14.7M -$1.61M -4,079 -10%
FMI
474
Factory Mutual Insurance
Massachusetts
$14.5M +$14.4M +36,500 New
VF
475
Vest Financial
Virginia
$14.5M +$5.02M +12,680 +53%