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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
MCM
651
McKinley Capital Management
Alaska
$95K -$187K -2,350 -66%
PFBT
652
Parkside Financial Bank & Trust
Missouri
$89K +$7.55K +95 +9%
GBT
653
Grove Bank & Trust
Florida
$89K +$27.8K +350 +44%
WPA
654
West Paces Advisors
Georgia
$86.7K
HWP
655
Hefty Wealth Partners
Indiana
$73K
NFG
656
Next Financial Group
Texas
$73K +$19.9K +250 +37%
UFG
657
United Fire Group
Iowa
$72K
RWA
658
Ropes Wealth Advisors
Massachusetts
$70K -$159 -2 -0.2%
WEC
659
Winslow Evans & Crocker
Massachusetts
$68.9K +$22.6K +285 +48%
BTIS
660
BB&T Investment Services
North Carolina
$68K +$24.1K +303 +53%
IIC
661
Integrated Investment Consultants
Michigan
$68K +$69.9K +880 New
M
662
MOTCO
Texas
$66K +$8.34K +105 +14%
GLI
663
Guardian Life Insurance
New York
$65K -$45.5K -573 -41%
PCM
664
Prelude Capital Management
New York
$64K -$1.82M -22,889 -97%
Parallax Volatility Advisers
665
Parallax Volatility Advisers
California
$63K -$200K -2,521 -76%
BWP
666
Baldwin Wealth Partners
Massachusetts
$61K
AFIA
667
America First Investment Advisors
Nebraska
$60K
FPS
668
Fieldpoint Private Securities
Connecticut
$60K
HIIFS
669
Harel Insurance Investments & Financial Services
Israel
$54K +$55.6K +700 New
EA
670
Edge Advisors
Georgia
$49K -$8.26K -104 -14%
FFC
671
First Financial Corp
Indiana
$49K
ZB
672
Zions Bancorporation
Utah
$47K -$2.78K -35 -6%
EMG
673
ETF Managers Group
New Jersey
$46K +$47.1K +593 New
AIM
674
Acrospire Investment Management
Illinois
$45K -$31.8K -400 -41%
CHC
675
City Holding Co
West Virginia
$45K