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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
CAU
526
Caxton Associates (UK)
$4.43M +$4.74M +21,955 New
CL
527
Choreo LLC
Illinois
$4.41M -$434K -2,007 -8%
GWM
528
GDS Wealth Management
Texas
$4.4M +$2.91M +13,472 +162%
PDL
529
Portfolio Design Labs
California
$4.39M +$2.3M +10,626 +96%
NMIMC
530
Northwestern Mutual Investment Management Company
Wisconsin
$4.38M -$690K -3,194 -13%
EMB
531
Elefante Mark B
$4.33M +$633K +2,928 +16%
VIM
532
Vinva Investment Management
Australia
$4.33M +$107K +497 +2%
EGM
533
Engineers Gate Manager
New York
$4.32M +$4.63M +21,421 New
AG
534
Ascent Group
Virginia
$4.3M +$2.94M +13,593 +176%
AUB
535
Atlantic Union Bankshares
Virginia
$4.28M -$120K -557 -3%
GAM
536
Generali Asset Management
Italy
$4.26M +$2.16M +9,980 +90%
BAMF
537
BI Asset Management Fondsmaeglerselskab
Denmark
$4.26M -$1.26M -5,813 -22%
MWM
538
Marion Wealth Management
Pennsylvania
$4.22M +$14.5K +67 +0.3%
IAA
539
Independent Advisor Alliance
North Carolina
$4.21M -$149K -689 -3%
CG
540
Carmignac Gestion
France
$4.19M
QCM
541
Qsemble Capital Management
New York
$4.16M +$4.46M +20,622 New
ATC
542
Argent Trust Co
Tennessee
$4.11M +$18.8K +87 +0.4%
GT
543
Glenmede Trust
Pennsylvania
$4.08M +$139K +641 +3%
TBA
544
Tower Bridge Advisors
Pennsylvania
$4.08M
AIP
545
ARS Investment Partners
New York
$4.06M -$97.3K -450 -2%
FM
546
Freemont Management
Switzerland
$4.03M +$4.32M +20,000 New
TPCW
547
TD Private Client Wealth
New York
$4.02M +$40.6K +188 +1%
HI
548
Horizon Investments
North Carolina
$4M -$832K -3,848 -16%
SWM
549
Salvus Wealth Management
New Jersey
$4M +$74.6K +345 +2%
TW
550
TritonPoint Wealth
Maryland
$3.99M -$11.9K -55 -0.3%