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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
BFG
501
Beacon Financial Group
Texas
$880K -$11.2K -123 -1%
SO
502
STRS Ohio
Ohio
$877K +$180K +1,973 +26%
RIL
503
Rothschild Investment LLC
Illinois
$875K
CA
504
Commerzbank Aktiengesellschaft
Germany
$870K +$440K +4,836 +103%
LIA
505
LS Investment Advisors
Michigan
$869K -$16.4K -180 -2%
DADC
506
D.A. Davidson & Co
Montana
$868K +$63.4K +696 +8%
W
507
Wealthfront
California
$868K +$130K +1,425 +18%
RA
508
Rational Advisors
New York
$866K
CC
509
ClearArc Capital
Ohio
$861K +$4.74K +52 +0.6%
FNBT
510
FineMark National Bank & Trust
Florida
$857K +$11.2K +123 +1%
MBA
511
McQueen Ball & Associates
Pennsylvania
$830K +$14.3K +157 +2%
P
512
Pitcairn
Pennsylvania
$827K -$218K -2,393 -21%
HK
513
Horizon Kinetics
New York
$825K -$86.5K -950 -9%
AP
514
Advisor Partners
California
$822K +$13.7K +150 +2%
BRCM
515
Bright Rock Capital Management
Massachusetts
$820K
SACTSONJ
516
Supplemental Annuity Collective Trust (SACT) of New Jersey
New Jersey
$820K
FFA
517
First Foundation Advisors
California
$814K +$813K +8,932 New
MCIM
518
Meadow Creek Investment Management
Georgia
$805K +$182K +2,000 +29%
BP
519
Ballentine Partners
Massachusetts
$802K -$32.9K -361 -4%
FBFS
520
First Business Financial Services
Wisconsin
$797K +$193K +2,119 +32%
TWI
521
Thomas White International
Illinois
$794K +$794K +8,717 New
SAM
522
Shamrock Asset Management
Texas
$779K -$35K -384 -5%
WCM
523
Windsor Capital Management
Arizona
$776K -$72.2K -793 -9%
BOC
524
Barbara Oil Co
Illinois
$775K
VFA
525
Voya Financial Advisors
Connecticut
$773K +$122K +1,339 +18%