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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
MCM
676
Maryland Capital Management
Maryland
$1.13M -$110K -700 -8%
PP
677
Paloma Partners
Connecticut
$1.13M +$763K +4,844 +170%
LA
678
Lifeworks Advisors
Michigan
$1.12M +$81.7K +519 +7%
EHWM
679
Eads & Heald Wealth Management
Georgia
$1.1M +$39.4K +250 +3%
JC
680
JB Capital
Connecticut
$1.09M +$48.5K +308 +4%
BFG
681
Beacon Financial Group
Texas
$1.09M -$43.1K -274 -4%
SAM
682
Sabadell Asset Management
Spain
$1.07M
CSPIA
683
Cary Street Partners Investment Advisory
Virginia
$1.07M +$667K +4,235 +138%
WEG
684
World Equity Group
Illinois
$1.07M +$90K +572 +8%
HI
685
Horizon Investments
North Carolina
$1.06M +$1.14M +7,232 New
MP
686
McDonald Partners
Ohio
$1.05M +$23K +146 +2%
EPFB
687
Employees Provident Fund Board
Malaysia
$1.05M
AI
688
AXS Investments
New York
$1.05M +$1.13M +7,165 New
CC
689
Cornerstone Capital
California
$1.04M
ICG
690
InterOcean Capital Group
Tennessee
$1.03M +$1.11M +7,077 New
UBG
691
United Bank (Georgia)
Georgia
$1.02M +$53.7K +341 +5%
HCM
692
Hutner Capital Management
Vermont
$1.02M
FFA
693
Fairfield Financial Advisors
Massachusetts
$1.02M -$54.3K -345 -5%
BCM
694
Bayesian Capital Management
New York
$1.01M +$1.09M +6,920 New
CIAS
695
Capital Investment Advisory Services
North Carolina
$999K -$24.4K -155 -2%
DY
696
Dowling & Yahnke
California
$995K +$1.57K +10 +0.1%
TMAM
697
Tokio Marine Asset Management
Japan
$994K +$115K +730 +12%
CI
698
Cigna Investments
Connecticut
$988K -$396K -2,517 -27%
PAM
699
Paradigm Asset Management
New York
$982K
JWCA
700
J.W. Coons Advisors
Ohio
$980K -$34.2K -217 -3%