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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
TRCT
726
Tower Research Capital (TRC)
New York
$98K -$2.07M -21,594 -95%
GLI
727
Guardian Life Insurance
New York
$97K +$2.69K +28 +3%
Twin Tree Management
728
Twin Tree Management
Texas
$96K +$99.8K +1,039 New
FMII
729
Farmers & Merchants Investments Inc
Nebraska
$92K +$1.73K +18 +2%
AWM
730
Aevitas Wealth Management
Massachusetts
$91K
PMFA
731
Plante Moran Financial Advisors
Michigan
$91K
CT
732
CPF Texas
Texas
$90K
QAM
733
QCI Asset Management
New York
$88K -$4.8K -50 -5%
UFG
734
United Fire Group
Iowa
$86K
TFA
735
Toth Financial Advisory
Virginia
$86K +$384 +4 +0.4%
KA
736
Kaizen Advisory
Illinois
$85K
MUS
737
Mitsubishi UFJ Securities
Japan
$84K
VFA
738
Valeo Financial Advisors
Indiana
$79K +$25K +260 +38%
WPA
739
West Paces Advisors
Georgia
$78K
M
740
MOTCO
Texas
$78K
SIC
741
Salem Investment Counselors
North Carolina
$75K +$33.6K +350 +76%
RWA
742
Ropes Wealth Advisors
Massachusetts
$74K -$14.2K -148 -16%
CAL
743
Capital Advisors Ltd
Ohio
$73K +$76K +791 New
AFIA
744
America First Investment Advisors
Nebraska
$72K
FIB
745
First Interstate Bank
Montana
$71K +$71.7K +746 +3,730%
RCAG
746
Rehmann Capital Advisory Group
Michigan
$69.7K +$2.59K +27 +4%
BBHC
747
Brown Brothers Harriman & Co
New York
$69K -$17.7K -184 -20%
SIM
748
Sonora Investment Management
Arizona
$68K
SQA
749
Simon Quick Advisors
New Jersey
$66K -$12K -125 -15%
ACS
750
Archford Capital Strategies
Illinois
$65K -$14.2K -148 -17%