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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
BF
526
BOK Financial
Oklahoma
$800K -$736K -6,501 -48%
SHJ
527
Sharkey, Howes & Javer
Colorado
$800K
LF
528
Lantz Financial
Illinois
$800K +$6.91K +61 +0.8%
FI
529
Fosun International
China
$799K +$815K +7,200 New
EMB
530
Elefante Mark B
$794K -$17.7K -156 -2%
RA
531
Riverstone Advisors
Texas
$792K
WS
532
Wedbush Securities
California
$783K +$23.4K +207 +3%
BBHC
533
Brown Brothers Harriman & Co
New York
$782K +$44.7K +395 +6%
CA
534
Cetera Advisors
Colorado
$778K -$25.8K -228 -3%
GAM
535
Garrison Asset Management
Arkansas
$776K +$108K +957 +16%
RIM
536
Redpoint Investment Management
Australia
$774K -$675K -5,962 -46%
FAAS
537
First Allied Advisory Services
California
$765K -$47.2K -417 -6%
Walleye Trading
538
Walleye Trading
New York
$765K +$443K +3,910 +133%
BSW
539
Buckingham Strategic Wealth
Missouri
$753K -$4.76K -42 -0.6%
PSUF
540
People's United Financial
Connecticut
$750K -$437K -3,858 -36%
HKAM
541
Horizon Kinetics Asset Management
New York
$749K -$6.79K -60 -0.9%
RIL
542
Rothschild Investment LLC
Illinois
$747K -$45.3K -400 -6%
VWM
543
Venturi Wealth Management
Texas
$735K -$94.7K -836 -11%
DWT
544
Dorsey & Whitney Trust
South Dakota
$733K -$20K -177 -3%
ECM
545
Everence Capital Management
Indiana
$726K
PGFC
546
Peapack-Gladstone Financial Corp
New Jersey
$722K +$82.1K +725 +13%
HAC
547
Harbor Advisory Corp
New Hampshire
$721K
SCM
548
Salem Capital Management
Massachusetts
$721K
HPC
549
HM Payson & Co
Maine
$715K +$10.1K +89 +1%
LNB
550
Ledyard National Bank
$714K -$90.9K -803 -11%