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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
SA
576
SRH Advisors
Kansas
$1K
TFO
577
Tarbox Family Office
California
$1K
RWM
578
Raffa Wealth Management
District of Columbia
$498
Westfield Capital Management
579
Westfield Capital Management
Massachusetts
-$129M -2,289,431 Closed
ETC
580
Evercore Trust Company
New York
-$79.5M -1,409,838 Closed
CGI
581
CI Global Investments
California
-$16.9M -300,000 Closed
CRM
582
Cramer Rosenthal McGlynn
Connecticut
-$15.1M -268,269 Closed
CS
583
Candriam SCA
Luxembourg
-$13.8M -243,913 Closed
SFM
584
Systematic Financial Management
New Jersey
-$11.4M -202,588 Closed
ACM
585
Andor Capital Management
New York
-$8.46M -150,000 Closed
PC
586
Polar Capital
United Kingdom
-$5.73M -101,647 Closed
LOAMU
587
Lombard Odier Asset Management (USA)
New York
-$4.54M -80,514 Closed
SCM
588
Sandler Capital Management
New York
-$3.67M -65,000 Closed
SI
589
Sensato Investors
California
-$3.37M -59,700 Closed
CC
590
Cipher Capital
New York
-$3.03M -53,763 Closed
ID
591
Integral Derivatives
New York
-$1.89M -32,186 Closed
VAM
592
Visium Asset Management
New York
-$1.59M -28,258 Closed
CCI
593
Columbus Circle Investors
-$740K -13,112 Closed
CK
594
Carnick & Kubik
Colorado
-$534K -9,475 Closed
PRCM
595
Pine River Capital Management
Minnesota
-$525K -9,300 Closed
AIM
596
Ada Investment Management
New York
-$318K -5,643 Closed
BCM
597
BBT Capital Management
Texas
-$303K -5,372 Closed
HT
598
HighTower Trust
Texas
-$301K -5,337 Closed
MHI
599
Miller Howard Investments
New York
-$292K -5,172 Closed
BFM
600
Boothbay Fund Management
New York
-$275K -4,873 Closed