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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
DADC
526
D.A. Davidson & Co
Montana
$863K -$50.1K -531 -6%
BRCM
527
Bright Rock Capital Management
Massachusetts
$863K
SACTSONJ
528
Supplemental Annuity Collective Trust (SACT) of New Jersey
New Jersey
$863K
HK
529
Horizon Kinetics
New York
$861K -$7.08K -75 -0.8%
VFA
530
Voya Financial Advisors
Connecticut
$861K +$36.1K +382 +4%
BUB
531
BBVA USA Bancshares
Texas
$858K -$315K -3,335 -27%
P
532
Pitcairn
Pennsylvania
$850K -$19.1K -202 -2%
Susquehanna International Group
533
Susquehanna International Group
Pennsylvania
$847K +$265K +2,805 +47%
TWI
534
Thomas White International
Illinois
$836K
FBFS
535
First Business Financial Services
Wisconsin
$826K -$12.7K -135 -2%
IA
536
IFG Advisory
Georgia
$823K +$14.3K +152 +2%
BOC
537
Barbara Oil Co
Illinois
$815K
NBG
538
Nancy B. Gardiner
$813K +$20.8K +220 +3%
WCM
539
Windsor Capital Management
Arizona
$807K -$8.97K -95 -1%
CCC
540
Cincinnati Casualty Company
Ohio
$801K
BP
541
Ballentine Partners
Massachusetts
$797K -$45.8K -485 -6%
SAM
542
Shamrock Asset Management
Texas
$782K
ZCA
543
Zeke Capital Advisors
Pennsylvania
$779K
CCM
544
Catawba Capital Management
Virginia
$775K +$204K +2,162 +37%
MML Investors Services
545
MML Investors Services
Massachusetts
$774K +$108K +1,147 +17%
H
546
HoyleCohen
California
$771K +$759K +8,041 New
MYIA
547
Mount Yale Investment Advisors
Colorado
$738K -$10.7K -113 -1%
EMB
548
Elefante Mark B
$735K +$21.7K +230 +3%
VNA
549
Valley National Advisers
Pennsylvania
$732K
WS
550
Wedbush Securities
California
$725K +$12.6K +133 +2%