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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
HK
501
Horizon Kinetics
New York
$830K
SO
502
STRS Ohio
Ohio
$820K -$68.2K -710 -7%
LIA
503
LS Investment Advisors
Michigan
$820K -$42.7K -444 -5%
II
504
Inspire Investing
Idaho
$817K +$167K +1,739 +24%
BFG
505
Beacon Financial Group
Texas
$815K -$29.8K -310 -3%
CCMD
506
Cypress Capital Management (Delaware)
Delaware
$814K +$846K +8,802 New
TWI
507
Thomas White International
Illinois
$806K
FBFS
508
First Business Financial Services
Wisconsin
$796K
Allianz Asset Management
509
Allianz Asset Management
Germany
$795K +$159K +1,657 +24%
P
510
Pitcairn
Pennsylvania
$793K -$27.7K -288 -3%
CIC
511
Cornercap Investment Counsel
Georgia
$790K -$75.9K -790 -8%
W
512
Wealthfront
California
$790K -$56.1K -584 -6%
NBG
513
Nancy B. Gardiner
$788K +$2.4K +25 +0.3%
BP
514
Ballentine Partners
Massachusetts
$788K +$19.9K +207 +2%
BOC
515
Barbara Oil Co
Illinois
$786K
BUB
516
BBVA USA Bancshares
Texas
$773K -$56.4K -587 -7%
CCC
517
Cincinnati Casualty Company
Ohio
$773K
Jane Street
518
Jane Street
New York
$758K -$970K -10,093 -55%
H
519
HoyleCohen
California
$754K +$10.6K +110 +1%
ZCA
520
Zeke Capital Advisors
Pennsylvania
$751K
SAM
521
Shamrock Asset Management
Texas
$749K -$4.61K -48 -0.6%
PIA
522
Piedmont Investment Advisors
North Carolina
$746K -$250K -2,604 -24%
WCM
523
Windsor Capital Management
Arizona
$743K -$37K -385 -5%
ATC
524
Argent Trust Co
Tennessee
$743K +$333K +3,471 +74%
EMB
525
Elefante Mark B
$739K +$33.6K +350 +5%