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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
William Blair & Company
526
William Blair & Company
Illinois
$205K +$192K +2,822 New
OWD
527
Osborn Williams & Donohoe
Ohio
$203K +$190K +2,800 New
SSA
528
Schonfeld Strategic Advisors
New York
$202K +$189K +2,781 New
PCM
529
Penserra Capital Management
California
$201K +$58K +853 +44%
Cohen & Steers
530
Cohen & Steers
New York
$193K -$43.5K -640 -19%
SFG
531
SevenBridge Financial Group
Pennsylvania
$187K
DADC
532
D.A. Davidson & Co
Montana
$185K +$106K +1,553 +152%
NSIM
533
North Star Investment Management
Illinois
$182K +$170K +2,500 New
ARMT
534
Amica Retiree Medical Trust
Rhode Island
$178K
MFW
535
Mosaic Family Wealth
Missouri
$174K -$20.4K -300 -11%
QCG
536
Quadrant Capital Group
Ohio
$169K -$476 -7 -0.3%
CTC
537
Central Trust Company
Missouri
$158K -$23.8K -350 -14%
FIB
538
First Interstate Bank
Montana
$154K
SF
539
Synovus Financial
Georgia
$153K
NIPH
540
NN Investment Partners Holdings
Netherlands
$151K
IA
541
IFP Advisors
Florida
$150K +$34.4K +506 +32%
AIM
542
Assured Investment Management
New York
$144K +$135K +1,987 New
EWM
543
Evercore Wealth Management
New York
$131K +$2.04K +30 +2%
PMFA
544
Plante Moran Financial Advisors
Michigan
$125K +$12K +176 +11%
MCM
545
Manchester Capital Management
Vermont
$121K
PA
546
Parallel Advisors
California
$115K +$108K +1,587 New
PCA
547
Peddock Capital Advisors
Massachusetts
$114K
QAM
548
QCI Asset Management
New York
$109K -$10.2K -150 -9%
CBOA
549
Commonwealth Bank of Australia
Australia
$108K -$4.89K -72 -5%
AIM
550
Acrospire Investment Management
Illinois
$108K +$101K +1,481 New