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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
Belvedere Trading
526
Belvedere Trading
Illinois
-$389K -7,000 Closed
BB
527
Bell Bank
North Dakota
-$376K -6,776 Closed
AGM
528
Alpine Global Management
New York
-$358K -6,440 Closed
KT
529
Kanaly Trust
Texas
-$352K -6,339 Closed
JWBC
530
John W. Bristol & Co
New York
-$336K -6,057 Closed
AIM
531
abrdn Investment Management
United Kingdom
-$313K -5,631 Closed
NBC
532
Neuberger Berman Canada
Ontario, Canada
-$305K -5,500 Closed
Parallax Volatility Advisers
533
Parallax Volatility Advisers
California
-$297K -5,235 Closed
QAM
534
Quantres Asset Management
Cayman Islands
-$278K -5,000 Closed
SAM
535
Silvercrest Asset Management
New York
-$244K -4,394 Closed
EMG
536
Ellington Management Group
Connecticut
-$239K -4,300 Closed
FSA
537
Financial Sense Advisors
California
-$236K -4,254 Closed
Squarepoint
538
Squarepoint
New York
-$205K -3,700 Closed
EPM
539
Equitec Proprietary Markets
Illinois
-$156K -2,809 Closed
RC
540
RegentAtlantic Capital
New Jersey
-$131K -2,356 Closed
HCC
541
Hirtle Callaghan & Co
Pennsylvania
-$122K -2,200 Closed
Simplex Trading
542
Simplex Trading
Illinois
-$73.7K -1,300 Closed
GWCM
543
Godshalk Welsh Capital Management
Pennsylvania
-$69K -1,250 Closed
Group One Trading
544
Group One Trading
Illinois
-$48K -871 Closed
NPC
545
National Planning Corporation
California
-$17.5K -325 Closed
GWS
546
Glassman Wealth Services
Virginia
-$11K -200 Closed
SEC
547
Seven Eight Capital
New York
-$10K -189 Closed
BRWA
548
B. Riley Wealth Advisors
Florida
-$10K -186 Closed
BC
549
Bartlett & Co
Ohio
-$4K -69 Closed
FPFS
550
First Personal Financial Services
North Carolina
-$2K -38 Closed