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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
AA
576
ALPS Advisors
Colorado
$484K +$503K +5,239 New
MYAM
577
Meiji Yasuda Asset Management
Japan
$482K
DJSG
578
D.J. St. Germain
Massachusetts
$474K
LIM
579
Leavell Investment Management
Alabama
$474K
Mariner
580
Mariner
Kansas
$474K +$42K +437 +9%
PP
581
Paloma Partners
Connecticut
$469K -$396K -4,119 -45%
SCI
582
S&CO Inc
Massachusetts
$462K
HPC
583
HM Payson & Co
Maine
$460K -$6.15K -64 -1%
SS
584
Sunbelt Securities
Texas
$456K -$2.02K -21 -0.4%
IIM
585
Intact Investment Management
Quebec, Canada
$453K +$67.3K +700 +17%
GC
586
Gratus Capital
Georgia
$451K -$44.4K -462 -9%
ACM
587
Azimuth Capital Management
Michigan
$450K +$2.4K +25 +0.5%
PI
588
Putnam Investments
Massachusetts
$446K -$12.5K -130 -3%
IA
589
IFP Advisors
Florida
$444K -$482K -5,021 -51%
I
590
IberiaBank
Louisiana
$443K -$706K -7,345 -61%
CQS
591
Credential Qtrade Securities
$442K +$459K +4,776 New
Schroder Investment Management Group
592
Schroder Investment Management Group
United Kingdom
$428K -$10.2K -106 -2%
BCM
593
BlueCrest Capital Management
Jersey
$421K +$438K +4,556 New
CG
594
Cutler Group
California
$418K +$378K +3,938 +665%
SAM
595
Stansberry Asset Management
Texas
$413K
HSA
596
HBK Sorce Advisory
Pennsylvania
$409K
AAM
597
Azzad Asset Management
Virginia
$408K
SPC
598
Sigma Planning Corp
Michigan
$408K +$7.59K +79 +2%
JG
599
Jefferies Group
New York
$407K -$5.76M -59,959 -93%
WT
600
Whittier Trust
California
$402K