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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
CAM
476
Carret Asset Management
New York
$992K -$87.5K -800 -7%
PFSC
477
Peoples Financial Services Corp
Pennsylvania
$979K -$8.2K -75 -0.7%
NFG
478
Nations Financial Group
Iowa
$974K +$273K +2,496 +30%
EGM
479
Engineers Gate Manager
New York
$971K +$341K +3,122 +41%
PIM
480
Platinum Investment Management
Australia
$961K
MIH
481
Meitav Investment House
Israel
$957K -$432K -3,952 -27%
PA
482
PFG Advisors
Arizona
$955K +$71.1K +650 +7%
CI
483
Cigna Investments
Connecticut
$933K +$65.6K +600 +6%
Mariner
484
Mariner
Kansas
$929K +$1.13M +10,363 New
KA
485
Kintegral Advisory
New York
$920K +$126K +1,148 +13%
CG
486
Colony Group
Massachusetts
$906K -$10.1K -92 -0.9%
AWM
487
AE Wealth Management
Kansas
$888K +$371K +3,396 +52%
DC
488
Davenport & Co
Virginia
$878K +$22.8K +209 +2%
BCV
489
Banque Cantonale Vaudoise
Switzerland
$873K -$87.5K -800 -8%
ACM
490
Ativo Capital Management
Illinois
$856K
CPA
491
Cowen Prime Advisors
New York
$843K +$1.03M +9,400 New
BB
492
Bell Bank
North Dakota
$842K +$4.59K +42 +0.4%
DTL
493
Dynamic Technology Lab
Singapore
$834K +$230K +2,100 +29%
LF
494
Lantz Financial
Illinois
$830K +$203K +1,855 +25%
FBFS
495
First Business Financial Services
Wisconsin
$828K -$16.4K -150 -2%
CIBC World Market
496
CIBC World Market
Ontario, Canada
$817K -$39.7K -363 -4%
BHWM
497
Bar Harbor Wealth Management
New Hampshire
$813K -$79.7K -729 -7%
FA
498
FDx Advisors
Illinois
$811K +$219K +2,006 +29%
BP
499
Ballentine Partners
Massachusetts
$810K +$3.39K +31 +0.3%
VAS
500
Vestmark Advisory Solutions
Massachusetts
$805K +$981K +8,975 New