We are live on ! Find out more
ADI icon

Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
NSIM
626
North Star Investment Management
Illinois
$194K
MUS
627
Mitsubishi UFJ Securities
Japan
$193K +$46.9K +590 +31%
WTB
628
Washington Trust Bank
Washington
$192K +$134K +1,683 +214%
ARMT
629
Amica Retiree Medical Trust
Rhode Island
$191K
Cohen & Steers
630
Cohen & Steers
New York
$187K -$7.95K -100 -4%
BBHC
631
Brown Brothers Harriman & Co
New York
$185K +$32.6K +410 +21%
CTC
632
Central Trust Company
Missouri
$184K +$2.54K +32 +1%
PA
633
Parallel Advisors
California
$182K +$19.9K +251 +12%
SFSIG
634
San Francisco Sentry Investment Group
California
$166K +$170K +2,141 New
QCG
635
Quadrant Capital Group
Ohio
$150K -$25.9K -326 -13%
MCM
636
Manchester Capital Management
Vermont
$150K -$18.4K -232 -11%
RFS
637
Rockefeller Financial Services
New York
$136K +$137K +1,720 +7,478%
GWM
638
Geneos Wealth Management
Colorado
$130K +$715 +9 +0.6%
WA
639
WFG Advisors
Texas
$123K +$26.2K +330 +26%
PCA
640
Peddock Capital Advisors
Massachusetts
$122K
SMFG
641
Sumitomo Mitsui Financial Group
Japan
$119K +$122K +1,530 New
WTC
642
WhitTier Trust Company
Nevada
$109K +$37.7K +475 +51%
HT
643
Heritage Trust
Oklahoma
$108K
JWM
644
Jacobus Wealth Management
Wisconsin
$107K
MCM
645
MV Capital Management
Maryland
$106K
PMFA
646
Plante Moran Financial Advisors
Michigan
$104K
VCM
647
Versant Capital Management
Arizona
$104K
FIB
648
First Interstate Bank
Montana
$99K -$65.1K -819 -39%
SA
649
SpiderRock Advisors
Delaware
$98K
QAM
650
QCI Asset Management
New York
$97K -$7.95K -100 -7%