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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
CCA
626
Cobblestone Capital Advisors
New York
$209K +$200K +2,550 New
ZCA
627
Zeke Capital Advisors
Pennsylvania
$208K +$199K +2,538 New
Cohen & Steers
628
Cohen & Steers
New York
$205K -$12.6K -160 -6%
NSIM
629
North Star Investment Management
Illinois
$205K
WSCM
630
Wellington Shields Capital Management
New York
$205K +$196K +2,500 New
QCG
631
Quadrant Capital Group
Ohio
$203K +$14.4K +184 +8%
FWM
632
Frontier Wealth Management
Missouri
$202K +$194K +2,465 New
ARMT
633
Amica Retiree Medical Trust
Rhode Island
$201K
SPIA
634
Steward Partners Investment Advisory
New York
$200K +$122K +1,555 +175%
CTC
635
Central Trust Company
Missouri
$191K +$12.7K +162 +7%
FPFS
636
First Personal Financial Services
North Carolina
$181K +$114K +1,457 +195%
MCM
637
Manchester Capital Management
Vermont
$178K +$39.1K +498 +30%
FIB
638
First Interstate Bank
Montana
$172K -$2.44K -31 -1%
CBOA
639
Commonwealth Bank of Australia
Australia
$169K +$44K +560 +37%
BBHC
640
Brown Brothers Harriman & Co
New York
$161K -$78.5K -1,000 -34%
PA
641
Parallel Advisors
California
$156K +$36.9K +470 +30%
MUS
642
Mitsubishi UFJ Securities
Japan
$155K +$137K +1,750 +1,250%
SF
643
Synovus Financial
Georgia
$143K -$27.5K -350 -17%
PCA
644
Peddock Capital Advisors
Massachusetts
$128K
GWM
645
Geneos Wealth Management
Colorado
$127K +$39.8K +507 +48%
Simplex Trading
646
Simplex Trading
Illinois
$127K +$122K +1,557 New
FANJ
647
Financial Architects (New Jersey)
New Jersey
$126K +$90.5K +1,152 +292%
DADC
648
D.A. Davidson & Co
Montana
$124K -$82.9K -1,056 -41%
FPF
649
FNY Partners Fund
New York
$122K -$338K -4,304 -74%
GLI
650
Guardian Life Insurance
New York
$115K +$17.5K +223 +19%