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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
PA
626
Parallel Advisors
California
$415K +$26.6K +235 +7%
ACM
627
Azimuth Capital Management
Michigan
$413K
TF
628
TLWM Financial
Texas
$405K -$15.1K -133 -4%
NIM
629
Northeast Investment Management
Massachusetts
$405K
ClearBridge Investments
630
ClearBridge Investments
New York
$400K +$8.72K +77 +2%
VCM
631
Virtue Capital Management
Tennessee
$397K +$57.3K +506 +17%
HI
632
Harrington Investments
California
$393K
HH
633
HWG Holdings
Texas
$393K +$64.3K +568 +19%
YWP
634
YorkBridge Wealth Partners
New York
$392K
AMG
635
Asset Management Group
Connecticut
$390K -$1.13K -10 -0.3%
BCM
636
BlueCrest Capital Management
Jersey
$390K +$395K +3,492 New
FTC
637
Farmers Trust Company
Ohio
$384K
EA
638
Emerald Advisers
Pennsylvania
$383K -$83.8K -740 -18%
SPC
639
Sigma Planning Corp
Michigan
$383K -$226 -2 -0.1%
LC
640
LCNB Corp
Ohio
$383K +$5.55K +49 +1%
SFA
641
Semmax Financial Advisors
North Carolina
$380K -$71.1K -628 -16%
Parallax Volatility Advisers
642
Parallax Volatility Advisers
California
$374K +$365K +3,224 +2,687%
CA
643
Clearstead Advisors
Ohio
$373K -$23.1K -204 -6%
CCA
644
Checchi Capital Advisers
California
$373K -$1.93K -17 -0.5%
SWM
645
SeaCrest Wealth Management
New York
$373K +$19.8K +175 +6%
OC
646
Oakworth Capital
Alabama
$372K -$3.51K -31 -0.9%
FMBTD
647
First Midwest Bank Trust Division
Illinois
$366K -$11.7K -103 -3%
PI
648
Putnam Investments
Massachusetts
$365K -$14K -124 -4%
NL
649
NWAM LLC
Washington
$361K -$1.13K -10 -0.3%
PA
650
Pinnacle Associates
New York
$359K +$96K +848 +36%