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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
CBB
576
Citizens Business Bank
California
$502K -$118K -1,300 -19%
TAM
577
Tiverton Asset Management
Delaware
$502K -$16.8K -184 -3%
LC
578
Loews Corp
New York
$501K
DLCIG
579
D.L. Carlson Investment Group
New Hampshire
$498K -$17K -187 -3%
IA
580
IFP Advisors
Florida
$496K
DCM
581
Driehaus Capital Management
Illinois
$494K -$7.38K -81 -1%
BB
582
Bell Bank
North Dakota
$486K +$16.8K +184 +4%
MYAM
583
Meiji Yasuda Asset Management
Japan
$475K +$41.9K +460 +10%
LIM
584
Leavell Investment Management
Alabama
$468K
PIM
585
Platinum Investment Management
Australia
$464K +$464K +5,100 New
SCI
586
S&CO Inc
Massachusetts
$456K
DIA
587
Denver Investment Advisors
Colorado
$453K -$215K -2,360 -32%
WAM
588
Wealthspire Advisors (Maryland)
Maryland
$451K -$52.4K -576 -10%
ACM
589
Azimuth Capital Management
Michigan
$450K
HPC
590
HM Payson & Co
Maine
$449K
SFSIG
591
San Francisco Sentry Investment Group
California
$447K +$114K +1,249 +34%
ID
592
Integral Derivatives
New York
$440K -$1.06M -11,600 -71%
GAM
593
Garrison Asset Management
Arkansas
$435K +$8.74K +96 +2%
WWM
594
Windsor Wealth Management
Indiana
$434K +$63.7K +700 +17%
BS
595
Banco Santander
Spain
$424K +$424K +4,658 New
SLAM
596
Swiss Life Asset Management
$424K -$42.6K -468 -9%
DJSG
597
D.J. St. Germain
Massachusetts
$421K +$421K +4,625 New
HSA
598
HBK Sorce Advisory
Pennsylvania
$403K +$1.18K +13 +0.3%
PCM
599
Penserra Capital Management
California
$401K +$31.7K +348 +9%
WT
600
Whittier Trust
California
$396K -$13.7K -151 -3%