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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
CICI
676
Capital Investment Counsel Inc
North Carolina
$233K -$8.86K -100 -4%
SSG
677
Summit Securities Group
New York
$231K -$8.86K -100 -4%
CTC
678
Central Trust Company
Missouri
$230K
WAP
679
Wealthcare Advisory Partners
Pennsylvania
$230K +$11K +124 +5%
PA
680
Pinnacle Associates
New York
$228K -$974 -11 -0.4%
IP
681
Investment Partners
Ohio
$228K +$227K +2,560 New
NSIM
682
North Star Investment Management
Illinois
$223K
WSCM
683
Wellington Shields Capital Management
New York
$223K
BTIS
684
BB&T Investment Services
North Carolina
$222K +$83.4K +942 +68%
BOS
685
Bingham Osborn & Scarborough
California
$220K +$219K +2,473 New
ARMT
686
Amica Retiree Medical Trust
Rhode Island
$219K
TAM
687
Tocqueville Asset Management
New York
$216K -$19.7K -222 -8%
RIG
688
Renaissance Investment Group
Massachusetts
$216K
MCM
689
Marathon Capital Management
Maryland
$209K +$209K +2,354 New
PL
690
Parkwood LLC
Ohio
$208K
CAW
691
Cornerstone Advisors (Washington)
Washington
$208K +$166K +1,870 +401%
GTAM
692
Global Trust Asset Management
Florida
$204K +$203K +2,288 New
CIBC World Market
693
CIBC World Market
Ontario, Canada
$201K -$2.21M -24,934 -92%
PA
694
Parallel Advisors
California
$195K -$354 -4 -0.2%
STA
695
Summit Trail Advisors
New York
$195K +$185K +2,086 New
QCG
696
Quadrant Capital Group
Ohio
$189K -$354 -4 -0.2%
GWM
697
Geneos Wealth Management
Colorado
$181K +$10.2K +115 +6%
BBHC
698
Brown Brothers Harriman & Co
New York
$176K +$3.81K +43 +2%
MCM
699
Manchester Capital Management
Vermont
$172K
GBT
700
Grove Bank & Trust
Florida
$167K +$88.6K +1,000 +114%