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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
WT
576
Whittier Trust
California
$385K +$12K +139 +3%
HSA
577
HBK Sorce Advisory
Pennsylvania
$383K +$4.07K +47 +1%
SCA
578
Snowden Capital Advisors
New York
$380K +$122K +1,411 +47%
AAM
579
Azzad Asset Management
Virginia
$373K -$6.14K -71 -2%
SPC
580
Sigma Planning Corp
Michigan
$372K -$7.27K -84 -2%
VWM
581
Venturi Wealth Management
Texas
$372K +$399K +4,612 New
FIM
582
Freedom Investment Management
Connecticut
$367K +$370K +4,280 New
S
583
SignatureFD
Georgia
$366K +$3.2K +37 +0.9%
SAM
584
Sompo Asset Management
Japan
$365K -$527K -6,090 -59%
QI
585
QS Investors
New York
$362K
SFSIG
586
San Francisco Sentry Investment Group
California
$359K -$12.7K -147 -3%
BSW
587
Buckingham Strategic Wealth
Missouri
$356K +$12.4K +143 +4%
APA
588
American Portfolios Advisors
New York
$354K -$216K -2,493 -38%
DTL
589
Dynamic Technology Lab
Singapore
$352K +$355K +4,100 New
ACI
590
Alpha Cubed Investments
California
$350K -$10.6K -122 -3%
LOAME
591
Lombard Odier Asset Management (Europe)
United Kingdom
$348K
GC
592
Gratus Capital
Georgia
$347K -$72K -832 -17%
PFGIA
593
Patriot Financial Group Insurance Agency
Massachusetts
$346K -$18.6K -215 -5%
EWM
594
Evercore Wealth Management
New York
$346K +$1.9K +22 +0.5%
RC
595
Reik & Co
New York
$345K
GFA
596
Gifford Fong Associates
California
$343K
KPW
597
Kore Private Wealth
New York
$341K +$343K +3,968 New
DLCIG
598
D.L. Carlson Investment Group
New Hampshire
$334K -$33.6K -389 -9%
BAM
599
Berkshire Asset Management
Pennsylvania
$334K -$1.99K -23 -0.6%
NRS
600
Neville Rodie & Shaw
New York
$334K