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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
WTC
526
WhitTier Trust Company
Nevada
$38K
GWM
527
Gupta Wealth Management
California
$37K
EFSCE
528
Enterprise Financial Services Corp (EFSC)
Missouri
$35K +$118 +2 +0.3%
AF
529
Arrow Financial
New York
$33K
DPA
530
Delphi Private Advisors
California
$33K +$34.8K +592 New
FFC
531
First Financial Corp
Indiana
$28K -$6.89K -117 -19%
SC
532
Saturna Capital
Washington
$28K +$14.7K +250 +100%
PCM
533
Penserra Capital Management
California
$26K +$28.4K +482 New
WAM
534
Wealthspire Advisors (Maryland)
Maryland
$23K +$24.2K +412 New
SIM
535
Sonora Investment Management
Arizona
$22K -$6.3K -107 -21%
ZB
536
Zions Bancorporation
Utah
$21K -$54.2K -921 -70%
CFA
537
Carroll Financial Associates
North Carolina
$21K
VIA
538
Vantage Investment Advisors
Pennsylvania
$21K +$22.1K +375 New
DA
539
Dunvegan Associates
California
$20K
GAM
540
Gemmer Asset Management
California
$19K
CB
541
Community Bank
New York
$17K
PR
542
Payden & Rygel
California
$16K +$16.7K +283 New
AssetMark Inc
543
AssetMark Inc
California
$15K +$15.8K +269 +3,363%
Bessemer Group
544
Bessemer Group
New Jersey
$14K +$9.77K +166 +210%
CHC
545
City Holding Co
West Virginia
$13K
BAM
546
Brave Asset Management
New Jersey
$11K
MWP
547
MYCIO Wealth Partners
Pennsylvania
$11K
NCM
548
Nelson Capital Management
California
$11K
PSC
549
Prentiss Smith & Co
Vermont
$11K
SNT
550
Security National Trust
West Virginia
$11K +$2.94K +50 +34%