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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
TU
701
TDAM USA
Ontario, Canada
$327K +$27.5K +250 +10%
IMRF
702
Illinois Municipal Retirement Fund
Illinois
$326K +$292K +2,657 New
PNC
703
Park National Corp
Ohio
$325K -$18.6K -169 -6%
YWP
704
YorkBridge Wealth Partners
New York
$320K
EMG
705
ETF Managers Group
New Jersey
$320K +$6.15K +56 +2%
P
706
Pitcairn
Pennsylvania
$319K -$495K -4,507 -63%
FWM
707
Frontier Wealth Management
Missouri
$318K -$11K -100 -4%
PIM
708
Penobscot Investment Management
Massachusetts
$313K +$280K +2,551 New
HFG
709
Heron Financial Group
New York
$312K -$18.5K -168 -6%
BFM
710
Boston Financial Management
Massachusetts
$309K +$53.4K +486 +24%
BFA
711
Brendel Financial Advisors
New Hampshire
$308K
NSIM
712
North Star Investment Management
Illinois
$307K
VFPI
713
Vantage Financial Partners (Illinois)
Illinois
$307K
CFG
714
Citizens Financial Group
Rhode Island
$305K +$17.7K +161 +7%
NCM
715
Novare Capital Management
North Carolina
$302K -$5.16M -46,943 -95%
Cetera Investment Advisers
716
Cetera Investment Advisers
Illinois
$300K -$61.7K -562 -19%
SPC
717
Stewart & Patten Company
California
$300K
NFT
718
Nan Fung Trinity
Hong Kong
$300K +$269K +2,450 New
GVAG
719
Great Valley Advisor Group
Delaware
$300K +$270K +2,460 New
EF
720
Empirical Finance
Pennsylvania
$299K +$268K +2,438 New
IB
721
Intrust Bank
Kansas
$298K -$11.8K -107 -4%
QCG
722
Quadrant Capital Group
Ohio
$297K -$321K -2,919 -55%
WSCM
723
Wellington Shields Capital Management
New York
$296K +$1.76K +16 +0.7%
WIS
724
Wright Investors Service
Connecticut
$295K -$426K -3,878 -62%
S
725
Seeyond
France
$294K -$7.03K -64 -3%