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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
II
476
IFM Investors
Australia
$884K +$32.4K +402 +4%
Jane Street
477
Jane Street
New York
$872K -$4.06M -50,383 -83%
IRF
478
IBM Retirement Fund
New York
$872K +$25.2K +313 +4%
MC
479
Mitra Capital
Massachusetts
$870K +$815K +10,100 New
RC
480
RBF Capital
California
$862K +$807K +10,000 New
LIA
481
LS Investment Advisors
Michigan
$856K +$27.6K +342 +4%
SPIA
482
Steward Partners Investment Advisory
New York
$842K +$76.4K +947 +11%
KRSITF
483
Kentucky Retirement Systems Insurance Trust Fund
Kentucky
$836K -$27.9K -346 -3%
BFG
484
Beacon Financial Group
Texas
$831K +$778K +9,643 New
GC
485
Gratus Capital
Georgia
$823K -$23.6K -293 -3%
MERSOM
486
Municipal Employees' Retirement System of Michigan
Michigan
$819K -$181K -2,240 -19%
CC
487
ClearArc Capital
Ohio
$814K +$36.7K +455 +5%
CC
488
Cipher Capital
New York
$803K +$751K +9,315 New
FNBT
489
FineMark National Bank & Trust
Florida
$799K -$2.98K -37 -0.4%
TAM
490
Tyers Asset Management
Texas
$791K -$51.9K -644 -7%
BRCM
491
Bright Rock Capital Management
Massachusetts
$776K
BWM
492
BerganKDV Wealth Management
Minnesota
$770K +$36K +446 +5%
CS
493
Credential Securities
$764K +$7.9K +98 +1%
NA
494
NewEdge Advisors
Louisiana
$762K +$36.5K +452 +5%
VIA
495
Virtus Investment Advisers
Connecticut
$759K -$109K -1,346 -13%
BFO
496
Boston Family Office
Massachusetts
$759K +$123K +1,525 +21%
ACI
497
Alpha Cubed Investments
California
$756K +$708K +8,775 New
MBA
498
McQueen Ball & Associates
Pennsylvania
$746K -$1.13K -14 -0.2%
SAM
499
Shamrock Asset Management
Texas
$735K -$11.6K -144 -2%
BOC
500
Barbara Oil Co
Illinois
$732K