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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
IP
651
Investment Partners
Ohio
$343K +$1.52K +14 +0.5%
C
652
Cerebellum
California
$343K +$2.49K +23 +0.8%
DTL
653
Dynamic Technology Lab
Singapore
$342K -$1.06M -9,774 -76%
CFG
654
Citizens Financial Group
Rhode Island
$340K -$57.3K -529 -15%
SACTSONJ
655
Supplemental Annuity Collective Trust (SACT) of New Jersey
New Jersey
$339K
ER
656
Enlightenment Research
Florida
$339K +$65K +600 +25%
RC
657
RegentAtlantic Capital
New Jersey
$338K
BG
658
Bellevue Group
Switzerland
$336K +$322K +2,973 New
SPC
659
Stewart & Patten Company
California
$333K
HH
660
HWG Holdings
Texas
$333K +$319K +2,949 New
Walleye Trading
661
Walleye Trading
New York
$331K +$318K +2,935 New
WIS
662
Wright Investors Service
Connecticut
$326K -$215K -1,985 -41%
RCA
663
Rowland Carmichael Advisors
Arizona
$325K
PNC
664
Park National Corp
Ohio
$324K -$32.5K -300 -9%
IUHSA
665
Itau Unibanco Holding S.A.
Brazil
$324K +$311K +2,872 New
GC
666
Gratus Capital
Georgia
$321K -$8.13K -75 -3%
DADC
667
D.A. Davidson & Co
Montana
$317K -$694K -6,411 -70%
DLCIG
668
D.L. Carlson Investment Group
New Hampshire
$317K -$51.3K -474 -14%
SIA
669
Sit Investment Associates
Minnesota
$313K -$32.5K -300 -10%
FWM
670
Frontier Wealth Management
Missouri
$304K
MIFH
671
Migdal Insurance & Financial Holdings
Israel
$300K +$112K +1,036 +64%
QCG
672
Quadrant Capital Group
Ohio
$298K -$52.5K -485 -15%
OWD
673
Osborn Williams & Donohoe
Ohio
$296K
BCCM
674
Bridge Creek Capital Management
Massachusetts
$295K +$12.5K +115 +5%
GJIC
675
Gamble Jones Investment Counsel
California
$292K +$54.2K +500 +24%