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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
AIP
501
Ameritas Investment Partners
Nebraska
$1.99M -$33.4K -217 -2%
H
502
HoyleCohen
California
$1.98M -$15.2K -99 -0.8%
VF
503
Virtu Financial
New York
$1.97M +$1.96M +12,732 New
FNT
504
First National Trust
Pennsylvania
$1.96M -$17.5K -114 -0.9%
RCIM
505
Red Cedar Investment Management
Michigan
$1.94M
IRF
506
IBM Retirement Fund
New York
$1.94M -$179K -1,163 -9%
AAP
507
Ardsley Advisory Partners
Connecticut
$1.94M +$76.9K +500 +4%
DI
508
DAGCO Inc
Ohio
$1.92M -$23.5K -153 -1%
BFO
509
Boston Family Office
Massachusetts
$1.91M -$98.2K -639 -5%
NFG
510
Next Financial Group
Texas
$1.91M +$107K +699 +6%
B
511
BP
United Kingdom
$1.88M -$343K -2,229 -16%
DC
512
Davenport & Co
Virginia
$1.88M +$115K +749 +7%
SFI
513
Siemens Fonds Invest
Germany
$1.87M -$157K -1,019 -8%
VCM
514
Virtue Capital Management
Tennessee
$1.84M +$60.6K +394 +3%
AIA
515
AIMZ Investment Advisors
California
$1.78M +$307 +2 +0%
BUB
516
BBVA USA Bancshares
Texas
$1.78M +$36.6K +238 +2%
CAM
517
Carret Asset Management
New York
$1.76M -$7.69K -50 -0.4%
PRC
518
Pearl River Capital
Michigan
$1.75M +$57.8K +376 +3%
PA
519
Pinnacle Associates
New York
$1.75M -$28.4K -185 -2%
AC
520
Allstate Corporation
Illinois
$1.67M +$106K +691 +7%
EDRH
521
Edmond de Rothschild Holding
Switzerland
$1.67M +$1.65M +10,762 New
CSS
522
Cubist Systematic Strategies
Connecticut
$1.67M -$4.77M -31,049 -74%
Bessemer Group
523
Bessemer Group
New Jersey
$1.64M +$182K +1,181 +13%
NIP
524
Nicholas Investment Partners
California
$1.61M -$1.08M -7,034 -40%
Mariner
525
Mariner
Kansas
$1.61M +$1.23K +8 +0.1%