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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
MFS
451
MSI Financial Services
Massachusetts
$135K +$25.6K +480 +27%
IWMPD
452
Integrated Wealth Management (Palm Desert)
California
$130K
PAM
453
PartnerRe Asset Management
Connecticut
$124K
CTC
454
Central Trust Company
Missouri
$124K +$30.7K +575 +38%
ASN
455
Advisory Services Network
Georgia
$120K -$3.52K -66 -3%
KA
456
Klingman & Associates
New York
$119K
BBHC
457
Brown Brothers Harriman & Co
New York
$119K +$64.1K +1,200 +149%
QCG
458
Quadrant Capital Group
Ohio
$117K +$2.24K +42 +2%
PAIA
459
Park Avenue Institutional Advisers
New York
$116K -$2.99K -56 -3%
MAM
460
Meeder Asset Management
Ohio
$112K +$101K +1,887 New
NIPH
461
NN Investment Partners Holdings
Netherlands
$105K +$95K +1,779 New
MCM
462
Manchester Capital Management
Vermont
$99K
EWM
463
Evercore Wealth Management
New York
$98K -$85.9K -1,609 -49%
QAM
464
QCI Asset Management
New York
$98K
CBOA
465
Commonwealth Bank of Australia
Australia
$94K -$432K -8,089 -84%
MFW
466
Mosaic Family Wealth
Missouri
$93K +$30.5K +571 +56%
PMFA
467
Plante Moran Financial Advisors
Michigan
$91K
AIM
468
Assured Investment Management
New York
$90K -$463K -8,670 -85%
VCM
469
Versant Capital Management
Arizona
$86K -$1.28K -24 -2%
Royal London Asset Management
470
Royal London Asset Management
United Kingdom
$78K +$241M +4,509,785 +3,899%
MCM
471
MV Capital Management
Maryland
$77K
GLI
472
Guardian Life Insurance
New York
$68K -$16.9K -317 -22%
WA
473
WFG Advisors
Texas
$67K +$427 +8 +0.7%
DSC
474
Duncker Streett & Co
Missouri
$65K
TRCT
475
Tower Research Capital (TRC)
New York
$64K +$18.5K +347 +48%