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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
PWM
701
Perigon Wealth Management
California
$164K +$58K +655 +55%
AIM
702
Advantage Investment Management
Iowa
$159K -$354 -4 -0.2%
AC
703
Avestar Capital
New York
$158K +$170K +1,922 New
PFA
704
Pathway Financial Advisors
Vermont
$156K +$155K +1,747 New
ACM
705
Aviance Capital Management
Florida
$154K -$75.6K -853 -33%
CPA
706
Clear Perspective Advisors
Illinois
$154K +$19.1K +216 +14%
FMLI
707
Fukoku Mutual Life Insurance
Japan
$151K
Bessemer Group
708
Bessemer Group
New Jersey
$150K +$107K +1,210 +257%
Cohen & Steers
709
Cohen & Steers
New York
$140K -$127K -1,430 -48%
PCA
710
Peddock Capital Advisors
Massachusetts
$139K
POIA
711
Pin Oak Investment Advisors
Texas
$139K +$138K +1,556 New
MPPLM
712
Midwest Professional Planners Ltd (MPPL)
Wisconsin
$134K +$133K +1,504 New
FPS
713
Fieldpoint Private Securities
Connecticut
$131K
C
714
Cerebellum
California
$130K +$129K +1,457 New
MSA
715
Marino Stram & Associates
Massachusetts
$127K +$126K +1,427 New
HT
716
Heritage Trust
Oklahoma
$126K +$2.21K +25 +2%
WTC
717
WhitTier Trust Company
Nevada
$125K
MCM
718
MV Capital Management
Maryland
$121K
IWP
719
Icon Wealth Partners
Texas
$121K +$120K +1,358 New
BGC
720
Blue Granite Capital
South Carolina
$119K -$1.68M -19,000 -93%
PMFA
721
Plante Moran Financial Advisors
Michigan
$119K
SMFG
722
Sumitomo Mitsui Financial Group
Japan
$116K -$356K -4,023 -76%
VCM
723
Versant Capital Management
Arizona
$115K
SIA
724
Sit Investment Associates
Minnesota
$114K +$89.5K +1,010 +381%
TSW
725
Thompson Siegel & Walmsley
Virginia
$111K +$111K +1,250 New