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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
OC
451
Oakworth Capital
Alabama
$222K
POA
452
Pergamon Offshore Advisors
New York
$222K +$229K +3,935 New
BMCMI
453
Bryn Mawr Capital Management Inc
Pennsylvania
$222K +$229K +3,939 New
Mackenzie Financial
454
Mackenzie Financial
Ontario, Canada
$220K -$102K -1,751 -31%
CL
455
CPWM LLC
Washington
$219K +$225K +3,875 New
BB
456
Bell Bank
North Dakota
$209K -$107K -1,840 -33%
AP
457
Advisor Partners
California
$206K +$19.5K +335 +10%
CCM
458
Catawba Capital Management
Virginia
$204K -$36.6K -630 -15%
JMFC
459
J.M. Forbes & Co
Massachusetts
$200K
MAM
460
Mizuho Asset Management
Japan
$192K +$29K +498 +17%
EWM
461
Evercore Wealth Management
New York
$183K
DADC
462
D.A. Davidson & Co
Montana
$165K -$7.33K -126 -4%
FMLI
463
Fukoku Mutual Life Insurance
Japan
$164K
CF
464
CenterStar Fund
Illinois
$153K
ARMT
465
Amica Retiree Medical Trust
Rhode Island
$139K
SIG
466
Schooner Investment Group
Pennsylvania
$137K -$145K -2,500 -50%
IWMPD
467
Integrated Wealth Management (Palm Desert)
California
$127K
ASN
468
Advisory Services Network
Georgia
$118K -$833K -14,319 -87%
PAIA
469
Park Avenue Institutional Advisers
New York
$118K -$989 -17 -0.8%
KA
470
Klingman & Associates
New York
$113K
QCG
471
Quadrant Capital Group
Ohio
$107K -$4.36K -75 -4%
AIM
472
Assured Investment Management
New York
$106K -$521K -8,962 -83%
GLI
473
Guardian Life Insurance
New York
$103K +$26.8K +461 +34%
QAM
474
QCI Asset Management
New York
$99K
Simplex Trading
475
Simplex Trading
Illinois
$97K -$173K -2,977 -63%