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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
DTL
676
Dynamic Technology Lab
Singapore
$413K +$222K +1,895 +116%
FCFC
677
First Commonwealth Financial Corp
Pennsylvania
$410K +$82.5K +705 +25%
ClearBridge Investments
678
ClearBridge Investments
New York
$409K
ACM
679
Azimuth Capital Management
Michigan
$408K
SLAM
680
Swiss Life Asset Management
$408K
LC
681
LCNB Corp
Ohio
$401K
CC
682
Centiva Capital
New York
$398K +$399K +3,409 New
SF
683
Synovus Financial
Georgia
$395K
CA
684
Clearstead Advisors
Ohio
$393K +$2.11K +18 +0.5%
OPPTF
685
OPSEU Pension Plan Trust Fund
Ontario, Canada
$392K +$234 +2 +0.1%
SL
686
Stevard LLC
Illinois
$392K +$114K +970 +41%
IHL
687
Investment House LLC
California
$391K +$392K +3,350 New
Kovitz Investment Group Partners
688
Kovitz Investment Group Partners
Illinois
$390K -$33.9K -290 -8%
JWCA
689
J.W. Coons Advisors
Ohio
$388K -$80.2K -685 -17%
TYCC
690
Texas Yale Capital Corp
Florida
$387K
NCM
691
Novare Capital Management
North Carolina
$385K +$98K +837 +34%
BS
692
Banco Santander
Spain
$384K -$65.6K -560 -15%
KFP
693
KMG Fiduciary Partners
Ohio
$380K +$3.75K +32 +1%
DWT
694
Dorsey & Whitney Trust
South Dakota
$379K -$14.5K -124 -4%
CAN
695
Cetera Advisor Networks
California
$378K +$22.7K +194 +6%
SPC
696
Sigma Planning Corp
Michigan
$369K -$2.34K -20 -0.6%
MMA
697
Miracle Mile Advisors
California
$369K +$11.4K +97 +3%
JMFC
698
J.M. Forbes & Co
Massachusetts
$367K
BHBT
699
Burke & Herbert Bank & Trust
Virginia
$365K
SFSIG
700
San Francisco Sentry Investment Group
California
$364K -$21K -179 -5%