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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
Lord, Abbett & Co
551
Lord, Abbett & Co
New Jersey
– -$10.9M -197,300 Closed
Korea Investment Corp
552
Korea Investment Corp
South Korea
– -$7.79M -140,800 Closed
HI
553
HBK Investments
Texas
– -$6.51M -117,600 Closed
SBIA
554
Sheaff Brock Investment Advisors
Indiana
– -$5.1M -92,182 Closed
ZIM
555
Zacks Investment Management
Illinois
– -$5.01M -90,589 Closed
CG
556
Colony Group
Massachusetts
– -$4.99M -90,243 Closed
TI
557
Trexquant Investment
Connecticut
– -$4.46M -80,700 Closed
1IA
558
1834 Investment Advisors
Wisconsin
– -$3.79M -68,426 Closed
AIA
559
Affinity Investment Advisors
California
– -$3.35M -60,639 Closed
GCP
560
GSA Capital Partners
United Kingdom
– -$2.79M -50,455 Closed
Handelsbanken Fonder
561
Handelsbanken Fonder
Sweden
– -$2.48M -44,916 Closed
AP
562
AHL Partners
United Kingdom
– -$2.37M -42,830 Closed
PWM
563
Perigon Wealth Management
California
– -$2.37M -42,800 Closed
JG
564
Jefferies Group
New York
– -$2.17M -39,321 Closed
B
565
BP
United Kingdom
– -$2.05M -37,000 Closed
JGUA
566
John G. Ullman & Associates
New York
– -$2.01M -36,266 Closed
Squarepoint
567
Squarepoint
New York
– -$1.8M -32,488 Closed
PAM
568
Princeton Alpha Management
New Jersey
– -$1.51M -27,266 Closed
BCM
569
BlueCrest Capital Management
Jersey
– -$1.37M -24,822 Closed
GL
570
GLG LLC
New York
– -$1.23M -22,199 Closed
SFI
571
SPC Financial Inc
Maryland
– -$1.17M -21,155 Closed
SS
572
Simplicity Solutions
Minnesota
– -$1.05M -18,918 Closed
SFP
573
Santa Fe Partners
New Mexico
– -$1.03M -18,604 Closed
QIM
574
Quantitative Investment Management
Virginia
– -$945K -17,100 Closed
TCM
575
Twin Capital Management
Pennsylvania
– -$939K -16,970 Closed