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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
TWI
501
Thomas White International
Illinois
$972K -$1.7K -15 -0.2%
NBG
502
Nancy B. Gardiner
$970K -$14.2K -125 -1%
GKFF
503
George Kaiser Family Foundation
Oklahoma
$966K
BOC
504
Barbara Oil Co
Illinois
$950K
Qube Research & Technologies (QRT)
505
Qube Research & Technologies (QRT)
United Kingdom
$945K -$734K -6,480 -43%
RIM
506
Rampart Investment Management
Connecticut
$945K -$52.2K -461 -5%
CCC
507
Cincinnati Casualty Company
Ohio
$934K
RWP
508
RWA Wealth Partners
Massachusetts
$929K +$113 +1 +0%
CIS
509
Connors Investor Services
Pennsylvania
$927K +$940K +8,300 New
VAS
510
Vestmark Advisory Solutions
Massachusetts
$923K -$12.7K -112 -1%
ODCM
511
Old Dominion Capital Management
Virginia
$918K -$135K -1,190 -13%
NFG
512
Nations Financial Group
Iowa
$894K +$949K +8,380 New
PA
513
PFG Advisors
Arizona
$893K +$16.4K +145 +2%
SAM
514
Shamrock Asset Management
Texas
$886K -$42.7K -377 -5%
BFG
515
Beacon Financial Group
Texas
$879K -$11.3K -100 -1%
EHWM
516
Eads & Heald Wealth Management
Georgia
$863K -$15.9K -140 -2%
MS
517
Maven Securities
Jersey
$851K +$869K +7,677 New
HF
518
HRT Financial
New York
$847K -$13M -114,928 -94%
VNA
519
Valley National Advisers
Pennsylvania
$847K -$25.7K -227 -3%
TSS
520
Two Sigma Securities
New York
$841K +$287K +2,537 +51%
LNWWM
521
Laird Norton Wetherby Wealth Management
California
$836K +$19.7K +174 +2%
P
522
Pitcairn
Pennsylvania
$833K +$18K +159 +2%
WCM
523
Windsor Capital Management
Arizona
$810K -$1.13K -10 -0.1%
IAA
524
Independent Advisor Alliance
North Carolina
$809K -$9.06K -80 -1%
MAM
525
Morse Asset Management
Connecticut
$801K -$657K -5,800 -45%