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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
STMM
676
South Texas Money Management
Texas
$300K +$304K +2,685 New
FNBT
677
FineMark National Bank & Trust
Florida
$298K -$86.3K -762 -22%
AC
678
Avestar Capital
New York
$297K +$110K +974 +58%
QCG
679
Quadrant Capital Group
Ohio
$294K -$3.4K -30 -1%
BCCM
680
Bridge Creek Capital Management
Massachusetts
$293K +$1.7K +15 +0.6%
PWLP
681
Prio Wealth Limited Partnership
Massachusetts
$293K +$85.2K +752 +40%
WI
682
WrapManager Inc
California
$292K +$19.5K +172 +7%
CFG
683
Citizens Financial Group
Rhode Island
$291K -$46.4K -410 -14%
CT
684
Cambridge Trust
Massachusetts
$290K +$64K +565 +28%
GJIC
685
Gamble Jones Investment Counsel
California
$289K
BFA
686
Brendel Financial Advisors
New Hampshire
$281K
FWM
687
Fairhaven Wealth Management
Illinois
$280K
VFPI
688
Vantage Financial Partners (Illinois)
Illinois
$279K
SIA
689
Sit Investment Associates
Minnesota
$279K -$31.1K -275 -10%
NSIM
690
North Star Investment Management
Illinois
$279K
SPM
691
Symmetry Peak Management
Pennsylvania
$279K +$283K +2,500 New
ATPW
692
Ashton Thomas Private Wealth
Arizona
$278K +$8.38K +74 +3%
S
693
Seeyond
France
$277K -$139K -1,230 -33%
SPC
694
Stewart & Patten Company
California
$274K -$56.6K -500 -17%
PWM
695
Perigon Wealth Management
California
$274K -$16.3K -144 -6%
RTS
696
Round Table Services
New Jersey
$272K -$88.9K -785 -24%
Fisher Asset Management
697
Fisher Asset Management
Washington
$270K +$35.2K +311 +15%
NFG
698
Next Financial Group
Texas
$269K +$37.5K +331 +16%
TAM
699
Taurus Asset Management
New York
$268K
WSCM
700
Wellington Shields Capital Management
New York
$268K