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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
YWP
701
YorkBridge Wealth Partners
New York
$234K -$97.8K -895 -26%
CT
702
Cambridge Trust
Massachusetts
$234K +$21.4K +196 +8%
PCM
703
Parsons Capital Management
Rhode Island
$232K -$76.5K -700 -21%
PA
704
Pinnacle Associates
New York
$230K -$39.4K -360 -12%
Carson Wealth (CWM LLC)
705
Carson Wealth (CWM LLC)
Nebraska
$229K
CCT
706
Capital City Trust
Florida
$229K +$279K +2,552 New
IB
707
Intrust Bank
Kansas
$228K +$13.7K +125 +5%
BFA
708
Brendel Financial Advisors
New Hampshire
$225K
MC
709
Maverick Capital
Texas
$224K -$1.39M -12,760 -84%
NSIM
710
North Star Investment Management
Illinois
$224K
VFPI
711
Vantage Financial Partners (Illinois)
Illinois
$224K
TU
712
TDAM USA
Ontario, Canada
$224K +$84.5K +773 +45%
FCFC
713
First Commonwealth Financial Corp
Pennsylvania
$221K +$40.9K +374 +18%
SPC
714
Stewart & Patten Company
California
$220K
LSAG
715
Lake Street Advisors Group
New Hampshire
$217K -$10.7K -98 -4%
AWM
716
Altium Wealth Management
New York
$217K +$265K +2,420 New
MYAM
717
Meiji Yasuda Asset Management
Japan
$216K -$378K -3,460 -59%
TAM
718
Taurus Asset Management
New York
$215K
WSCM
719
Wellington Shields Capital Management
New York
$215K
SFA
720
Sequoia Financial Advisors
Ohio
$215K +$5.25K +48 +2%
RIG
721
Renaissance Investment Group
Massachusetts
$211K
FCH
722
Freestone Capital Holdings
Washington
$210K -$39.4K -360 -13%
PWLP
723
Prio Wealth Limited Partnership
Massachusetts
$210K
CFG
724
Citizens Financial Group
Rhode Island
$208K -$11.2K -102 -4%
OPS
725
Orion Portfolio Solutions
Nebraska
$208K +$22.1K +202 +10%