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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
BRWM
501
B. Riley Wealth Management
Tennessee
$2K
FPFS
502
First Personal Financial Services
North Carolina
$2K +$1.94K +38 New
GI
503
Gradient Investments
Minnesota
$1K
SA
504
SRH Advisors
Kansas
$1K
TFO
505
Tarbox Family Office
California
$1K
RWM
506
Raffa Wealth Management
District of Columbia
$666
Boston Partners
507
Boston Partners
Massachusetts
-$42.5M -858,850 Closed
GE
508
General Electric
Ohio
-$21.4M -432,204 Closed
D.E. Shaw & Co
509
D.E. Shaw & Co
New York
-$21.5M -421,672 Closed
ARC
510
Absolute Return Capital
Massachusetts
-$8.21M -165,804 Closed
PM
511
Platinum Management
New York
-$7.62M -154,036 Closed
SCM
512
Stevens Capital Management
Pennsylvania
-$5.92M -119,720 Closed
PP
513
PDT Partners
New York
-$4.24M -85,635 Closed
QT
514
Quantbot Technologies
New York
-$3.59M -72,613 Closed
DCM
515
Dynamic Capital Management
Jersey
-$3.52M -71,190 Closed
BMCMI
516
Bryn Mawr Capital Management Inc
Pennsylvania
-$3.2M -64,712 Closed
Verition Fund Management
517
Verition Fund Management
Connecticut
-$2.7M -54,635 Closed
FAAM
518
First Allied Asset Management
California
-$2.55M -51,034 Closed
SFU
519
Stonehage Fleming (UK)
United Kingdom
-$1.71M -34,600 Closed
BT
520
Beacon Trust
New Jersey
-$1.42M -28,686 Closed
O
521
OppenheimerFunds
New York
-$1.41M -28,530 Closed
CC
522
Cipher Capital
New York
-$1.3M -26,294 Closed
LOAMS
523
Lombard Odier Asset Management (Switzerland)
Switzerland
-$1.18M -23,655 Closed
PG
524
PEAK6 Group
Illinois
-$1.07M -20,867 Closed
VWM
525
Valley Wealth Managers
New Jersey
-$970K -19,605 Closed