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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
LNWWM
526
Laird Norton Wetherby Wealth Management
California
$582K -$5.79K -67 -1%
PP
527
Paloma Partners
Connecticut
$578K +$143K +1,652 +33%
CWM
528
Cordatus Wealth Management
Pennsylvania
$575K +$580K +6,701 New
Jane Street
529
Jane Street
New York
$571K -$133K -1,543 -19%
ZCA
530
Zeke Capital Advisors
Pennsylvania
$568K -$129K -1,496 -18%
Mariner
531
Mariner
Kansas
$563K +$124K +1,437 +28%
RIM
532
Redpoint Investment Management
Australia
$560K
MC
533
Machina Capital
France
$555K +$559K +6,468 New
HAC
534
Harbor Advisory Corp
New Hampshire
$554K
SWP
535
Stratos Wealth Partners
Ohio
$549K +$553K +6,396 New
CC
536
ClearArc Capital
Ohio
$545K -$280K -3,241 -34%
PLFAM
537
Pineno Levin & Ford Asset Management
Virginia
$529K
O
538
Ossiam
France
$528K +$532K +6,155 New
SCM
539
Salem Capital Management
Massachusetts
$526K -$14.2K -164 -3%
PCAP
540
Pratt Collard Advisory Partners
New York
$525K
RTS
541
Round Table Services
New Jersey
$520K -$37.8K -437 -7%
AF
542
Ally Financial
Michigan
$515K +$519K +6,000 New
SB
543
Simmons Bank
Arkansas
$511K -$4.84K -56 -0.9%
TCM
544
Teza Capital Management
Illinois
$499K +$503K +5,819 New
WWM
545
Windsor Wealth Management
Indiana
$495K +$34.9K +404 +8%
IRF
546
IBM Retirement Fund
New York
$484K -$35.1K -406 -7%
STA
547
Summit Trail Advisors
New York
$479K -$413K -4,778 -46%
CBB
548
Citizens Business Bank
California
$472K
LC
549
Loews Corp
New York
$472K
PA
550
Probity Advisors
Texas
$471K -$13.8K -160 -3%