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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
CAS
551
Cue Advisory Services
Arizona
$589K +$9.61K +100 +2%
BB
552
Bell Bank
North Dakota
$589K +$31.6K +329 +5%
ORI
553
Oak Ridge Investments
Illinois
$583K +$39.9K +415 +7%
SCM
554
Salem Capital Management
Massachusetts
$581K -$10.8K -112 -2%
O
555
OppenheimerFunds
New York
$574K +$82.8K +862 +16%
Tudor Investment Corp
556
Tudor Investment Corp
Connecticut
$573K +$596K +6,201 New
PLFAM
557
Pineno Levin & Ford Asset Management
Virginia
$570K
PCAP
558
Pratt Collard Advisory Partners
New York
$565K
IRF
559
IBM Retirement Fund
New York
$559K -$101K -1,054 -15%
SB
560
Simmons Bank
Arkansas
$555K -$111K -1,153 -16%
AWM
561
Avior Wealth Management
Nebraska
$546K
PWM
562
Perigon Wealth Management
California
$527K +$11.1K +116 +2%
Koshinski Asset Management
563
Koshinski Asset Management
Illinois
$525K +$545K +5,675 New
PA
564
Probity Advisors
Texas
$522K -$4.04K -42 -0.7%
NIMI
565
Natixis Investment Managers International
France
$517K +$255K +2,651 +90%
LCM
566
Laurion Capital Management
New York
$509K -$2.22M -23,100 -81%
NERM
567
New England Research & Management
Illinois
$509K -$19.2K -200 -4%
CBB
568
Citizens Business Bank
California
$509K
LC
569
Loews Corp
New York
$509K
CC
570
Cipher Capital
New York
$505K +$59.6K +620 +13%
BFEC
571
Benjamin F. Edwards & Company
Missouri
$504K -$107K -1,117 -17%
WAM
572
Wealthspire Advisors (Maryland)
Maryland
$501K -$23.4K -244 -4%
WWM
573
Windsor Wealth Management
Indiana
$496K +$9.61K +100 +2%
PCM
574
Penserra Capital Management
California
$493K -$1.7M -17,654 -77%
NEAM
575
New England Asset Management
Connecticut
$488K