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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
WI
676
WrapManager Inc
California
$368K +$4.83K +44 +1%
FTC
677
Farmers Trust Company
Ohio
$364K -$14.3K -130 -4%
CGL
678
Clarius Group LLC
Washington
$362K +$18.9K +172 +6%
MLL
679
Moody Lynn & Lieberson
Massachusetts
$362K +$325K +2,955 New
RCA
680
Rowland Carmichael Advisors
Arizona
$361K
FCH
681
Freestone Capital Holdings
Washington
$359K +$63.9K +582 +25%
Vanguard Personalized Indexing Management
682
Vanguard Personalized Indexing Management
California
$358K +$320K +2,917 New
IP
683
Investment Partners
Ohio
$357K +$1.43K +13 +0.4%
BOH
684
Bank of Hawaii
Hawaii
$356K -$7.14K -65 -2%
AIMCA
685
Alberta Investment Management Corp (AIMCo)
Alberta, Canada
$356K +$318K +2,900 New
BCM
686
Bienville Capital Management
New York
$351K
CIS
687
Connors Investor Services
Pennsylvania
$350K -$659K -6,000 -68%
PWM
688
Perigon Wealth Management
California
$349K -$21K -191 -6%
TCB
689
Texas Capital Bancshares
Texas
$349K -$19.3K -176 -6%
HT
690
Heritage Trust
Oklahoma
$349K -$2.75K -25 -0.9%
FCFC
691
First Commonwealth Financial Corp
Pennsylvania
$344K +$37.8K +344 +14%
CTC
692
Central Trust Company
Missouri
$343K
AWM
693
Altium Wealth Management
New York
$343K +$41.4K +377 +16%
CBT
694
Capital Bank & Trust
California
$342K -$7.42M -67,562 -96%
DACG
695
Donor Advised Charitable Giving
California
$342K
CC
696
Cipher Capital
New York
$342K +$306K +2,786 New
FNBT
697
FineMark National Bank & Trust
Florida
$339K +$7.03K +64 +2%
EGM
698
Engineers Gate Manager
New York
$331K -$892K -8,126 -75%
PCM
699
Parsons Capital Management
Rhode Island
$331K +$11.2K +102 +4%
TNBTD
700
Trustmark National Bank Trust Department
Mississippi
$331K +$297K +2,700 New