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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
HAC
576
Harbor Advisory Corp
New Hampshire
$619K
TCM
577
Twin Capital Management
Pennsylvania
$618K +$608K +6,440 New
CIP
578
Chartwell Investment Partners
Pennsylvania
$616K +$606K +6,420 New
APA
579
American Portfolios Advisors
New York
$615K +$483K +5,118 +397%
SCM
580
Salem Capital Management
Massachusetts
$614K
CAS
581
Cue Advisory Services
Arizona
$601K -$22.7K -240 -4%
MWNA
582
Marshall Wace North America
New York
$597K -$987K -10,457 -63%
Voloridge Investment Management
583
Voloridge Investment Management
Florida
$594K +$584K +6,191 New
PLFAM
584
Pineno Levin & Ford Asset Management
Virginia
$591K
ACI
585
Alpha Cubed Investments
California
$587K -$2.93K -31 -0.5%
PCAP
586
Pratt Collard Advisory Partners
New York
$586K
BB
587
Bell Bank
North Dakota
$580K +$66.8K +708 +13%
MIFH
588
Migdal Insurance & Financial Holdings
Israel
$579K +$569K +6,028 +50,233%
AWM
589
Avior Wealth Management
Nebraska
$566K +$277K +2,930 +99%
ORI
590
Oak Ridge Investments
Illinois
$565K +$27.1K +287 +5%
NERM
591
New England Research & Management
Illinois
$547K -$1.56M -16,492 -74%
PA
592
Probity Advisors
Texas
$545K -$8.59K -91 -2%
WAM
593
Wealthspire Advisors (Maryland)
Maryland
$544K +$68.1K +722 +15%
PWM
594
Perigon Wealth Management
California
$536K +$286K +3,030 +119%
Qube Research & Technologies (QRT)
595
Qube Research & Technologies (QRT)
United Kingdom
$530K +$521K +5,521 New
CBB
596
Citizens Business Bank
California
$528K
LC
597
Loews Corp
New York
$528K
DAM
598
Deltec Asset Management
New York
$518K -$2.22M -23,500 -81%
Connor, Clark & Lunn Investment Management (CC&L)
599
Connor, Clark & Lunn Investment Management (CC&L)
British Columbia, Canada
$516K -$172K -1,825 -25%
GC
600
Gratus Capital
Georgia
$512K -$121K -1,283 -19%