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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
CT
651
Cambridge Trust
Massachusetts
$278K
SACTSONJ
652
Supplemental Annuity Collective Trust (SACT) of New Jersey
New Jersey
$277K -$576K -6,000 -67%
VFPI
653
Vantage Financial Partners (Illinois)
Illinois
$277K
CII
654
Capital International Inc
California
$273K -$106K -1,100 -27%
SPC
655
Stewart & Patten Company
California
$273K
FMBTD
656
First Midwest Bank Trust Division
Illinois
$270K +$280K +2,918 New
CAW
657
Cornerstone Advisors (Washington)
Washington
$268K +$2.5K +26 +0.9%
Los Angeles Capital Management
658
Los Angeles Capital Management
California
$267K +$27.9K +290 +11%
NL
659
NWAM LLC
Washington
$266K -$3.84K -40 -1%
JIP
660
Jaffetilchin Investment Partners
Florida
$265K
AC
661
Avestar Capital
New York
$262K +$59.8K +622 +26%
BRWA
662
B. Riley Wealth Advisors
Florida
$259K +$43.8K +456 +20%
CTC
663
Central Trust Company
Missouri
$258K
GT
664
Greenleaf Trust
Michigan
$257K -$37.5K -390 -12%
CAN
665
Cetera Advisor Networks
California
$257K +$20.7K +215 +8%
HFS
666
HL Financial Services
Kentucky
$255K
WAP
667
Wealthcare Advisory Partners
Pennsylvania
$253K -$576 -6 -0.2%
FWM
668
Frontier Wealth Management
Missouri
$249K
PA
669
Pinnacle Associates
New York
$249K +$18.7K +195 +8%
FIMG
670
Financial & Investment Management Group
Michigan
$243K
OWD
671
Osborn Williams & Donohoe
Ohio
$243K
CG
672
Colony Group
Massachusetts
$243K +$252K +2,624 New
GQG Partners
673
GQG Partners
Florida
$240K -$257K -2,675 -51%
QAM
674
Quantres Asset Management
Cayman Islands
$240K -$250K -2,600 -50%
UC
675
Unio Capital
New Jersey
$240K