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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
FNT
626
First National Trust
Pennsylvania
$2.4M -$20.4K -110 -0.9%
H
627
HoyleCohen
California
$2.37M -$30.6K -165 -1%
GKFF
628
George Kaiser Family Foundation
Oklahoma
$2.36M -$431K -2,330 -16%
MAS
629
Meeder Advisory Services
Ohio
$2.34M +$187K +1,009 +9%
CG
630
Castellan Group
Kentucky
$2.33M +$116K +625 +6%
HIS
631
Horizon Investment Services
Indiana
$2.31M +$2.2M +11,854 New
NSB
632
Norway Savings Bank
Maine
$2.29M +$131K +705 +6%
NEI
633
Northwest & Ethical Investments
Ontario, Canada
$2.29M
FHB
634
First Hawaiian Bank
Hawaii
$2.29M -$24.8K -134 -1%
VI
635
Vestcor Inc
New Brunswick, Canada
$2.28M -$1.66M -8,956 -43%
DI
636
DAGCO Inc
Ohio
$2.26M -$43.1K -233 -2%
CT
637
Coastline Trust
Rhode Island
$2.25M -$4.45K -24 -0.2%
LF
638
Lantz Financial
Illinois
$2.23M -$36.7K -198 -2%
FTDI
639
First Trust Direct Indexing
Massachusetts
$2.22M +$28.7K +155 +1%
TCA
640
Troluce Capital Advisors
Puerto Rico
$2.22M +$2.11M +11,400 New
CAM
641
Carret Asset Management
New York
$2.22M +$111K +601 +6%
CG
642
Caprock Group
Idaho
$2.21M -$38.1K -206 -2%
CAL
643
Capital Analysts LLC
Pennsylvania
$2.19M +$63.5K +343 +3%
RMC
644
Resources Management Corp
Connecticut
$2.18M +$825K +4,457 +66%
USAA
645
United Services Automobile Association
Texas
$2.16M -$198K -1,070 -9%
EHWM
646
Eads & Heald Wealth Management
Georgia
$2.16M +$376K +2,030 +22%
UB
647
UMB Bank
Missouri
$2.14M -$20.2K -109 -1%
OIAM
648
OFI Invest Asset Management
France
$2.13M +$2.02M +10,920 New
CWM
649
Centric Wealth Management
Illinois
$2.12M +$52.2K +282 +3%
SCA
650
Snowden Capital Advisors
New York
$2.12M +$103K +558 +5%