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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
JFGIW
526
Johnson Financial Group Inc (Wisconsin)
Wisconsin
$2K
SA
527
SRH Advisors
Kansas
$2K
GI
528
Gradient Investments
Minnesota
$1K -$11.2K -172 -90%
TFO
529
Tarbox Family Office
California
$1K
BCFS
530
Butensky & Cohen Financial Security
Florida
$1K +$1.49K +23 New
RWM
531
Raffa Wealth Management
District of Columbia
$578
FPP
532
Findlay Park Partners
United Kingdom
-$58.1M -921,461 Closed
MVIP
533
Mar Vista Investment Partners
California
-$27.5M -435,947 Closed
HI
534
Honeywell International
North Carolina
-$18.6M -294,500 Closed
NSLI
535
Nan Shan Life Insurance
Taiwan
-$16.9M -268,000 Closed
WG
536
Winton Group
United Kingdom
-$14.1M -224,192 Closed
Renaissance Technologies
537
Renaissance Technologies
New York
-$7.14M -113,300 Closed
NIMC
538
NWQ Investment Management Company
California
-$4.17M -66,210 Closed
BA
539
Bridgewater Associates
Connecticut
-$3.06M -48,549 Closed
LTI
540
Laffer Tengler Investments
Tennessee
-$2.68M -42,539 Closed
Axa
541
Axa
France
-$2.13M -33,800 Closed
CG
542
Clinton Group
New York
-$1.95M -30,951 Closed
KRC
543
Kingdom Ridge Capital
New York
-$1.44M -22,212 Closed
QIM
544
Quantitative Investment Management
Virginia
-$1.22M -19,400 Closed
IG
545
ING Group
Netherlands
-$1.09M -17,257 Closed
IIM
546
Intact Investment Management
Quebec, Canada
-$945K -15,000 Closed
CA
547
Cullinan Associates
Kentucky
-$888K -14,100 Closed
QC
548
Quadrature Capital
United Kingdom
-$885K -14,044 Closed
MAM
549
Martingale Asset Management
Massachusetts
-$869K -13,781 Closed
Marshall Wace
550
Marshall Wace
United Kingdom
-$690K -10,956 Closed