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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
BPA
526
Beacon Pointe Advisors
California
$3.86M +$286K +1,544 +8%
SLG
527
Stanley-Laman Group
Pennsylvania
$3.86M -$51.7K -279 -1%
BFS
528
Bradley Foster & Sargent
Connecticut
$3.85M -$98K -529 -3%
GCM
529
Genus Capital Management
British Columbia, Canada
$3.82M +$3.63M +19,600 New
Credit Agricole
530
Credit Agricole
France
$3.79M -$1.04M -5,617 -22%
Squarepoint
531
Squarepoint
New York
$3.78M -$23.6M -127,619 -87%
AG
532
AIA Group
Hong Kong
$3.77M +$3.23M +17,465 +921%
BFEC
533
Benjamin F. Edwards & Company
Missouri
$3.76M +$778K +4,200 +28%
IMRF
534
Illinois Municipal Retirement Fund
Illinois
$3.74M
LOPW
535
Live Oak Private Wealth
North Carolina
$3.72M +$341K +1,844 +11%
CG
536
Carmignac Gestion
France
$3.72M +$1.95M +10,504 +121%
EAM
537
Erste Asset Management
Austria
$3.71M -$3.52K -19 -0.1%
SDIC
538
South Dakota Investment Council
South Dakota
$3.7M -$379K -2,045 -10%
HFBOT
539
Home Federal Bank of Tennessee
Tennessee
$3.69M -$13.9K -75 -0.4%
CUAMC
540
China Universal Asset Management Company
China
$3.62M -$2.79M -15,087 -45%
WBC
541
Westpac Banking Corp
Australia
$3.61M -$18.9M -102,309 -85%
AAM
542
Advisors Asset Management
Colorado
$3.6M +$782K +4,221 +30%
RCA
543
Resonant Capital Advisors
Wisconsin
$3.59M -$75.7K -409 -2%
API
544
Advisor Partners II
California
$3.59M +$297K +1,606 +10%
BCM
545
Brookmont Capital Management
Texas
$3.56M -$16.5K -89 -0.5%
MWM
546
Marion Wealth Management
Pennsylvania
$3.54M +$39.4K +213 +1%
KRSITF
547
Kentucky Retirement Systems Insurance Trust Fund
Kentucky
$3.54M +$22.8K +123 +0.7%
EDRH
548
Edmond de Rothschild Holding
Switzerland
$3.52M +$3.25M +17,563 +3,444%
Vontobel Holding
549
Vontobel Holding
Switzerland
$3.5M +$531K +2,865 +19%
Arrowstreet Capital
550
Arrowstreet Capital
Massachusetts
$3.48M -$47.8M -257,992 -94%