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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
QCMC
726
Quantum Capital Management (California)
California
$227K +$21.6K +191 +10%
CT
727
Chicago Trust
Illinois
$225K -$2.15K -19 -0.9%
PP
728
Prudential plc
United Kingdom
$224K +$20.6K +182 +10%
EM
729
ELCO Management
New York
$223K
RC
730
RBF Capital
California
$223K
EWA
731
ERTS Wealth Advisors
Michigan
$222K -$45.3K -400 -17%
GBT
732
Grove Bank & Trust
Florida
$219K
CI
733
CX Institutional
Indiana
$219K +$5.21K +46 +2%
CCA
734
Cobblestone Capital Advisors
New York
$218K
IIC
735
Integrated Investment Consultants
Michigan
$217K
CC
736
Cedar Capital
Illinois
$217K +$220K +1,946 New
MCM
737
Manchester Capital Management
Vermont
$216K
WIA
738
Wealthstreet Investment Advisors
Texas
$216K
OWD
739
Osborn Williams & Donohoe
Ohio
$215K -$79.3K -700 -27%
GLA
740
Good Life Advisors
Pennsylvania
$215K -$33.9K -299 -13%
KIA
741
KCM Investment Advisors
California
$215K +$217K +1,920 New
AIM
742
Axiom Investment Management
New York
$210K -$769K -6,789 -78%
WI
743
Wintrust Investments
Illinois
$210K +$6.12K +54 +3%
WIP
744
Wellesley Investment Partners
Massachusetts
$210K +$6.68K +59 +3%
IA
745
IFP Advisors
Florida
$210K +$213K +1,882 New
MAM
746
Meeder Asset Management
Ohio
$209K +$16.2K +143 +8%
MWM
747
Mission Wealth Management
California
$204K +$1.25K +11 +0.6%
GTAM
748
Global Trust Asset Management
Florida
$203K
LOAMS
749
Lombard Odier Asset Management (Switzerland)
Switzerland
$203K
EMG
750
ETF Managers Group
New Jersey
$201K +$8.83K +78 +4%