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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
BL
751
Balentine LLC
Georgia
$130K +$151K +1,377 +1,812%
ED
752
Exane Derivatives
France
$130K +$43.7K +400 +38%
MCM
753
MV Capital Management
Maryland
$117K
CII
754
Capital International Inc
California
$111K +$4.04K +37 +3%
AIL
755
AGF Investments LLC
Ontario, Canada
$105K
LC
756
Lindbrook Capital
California
$103K -$19.6K -179 -14%
SFPG
757
Stonebridge Financial Planning Group
Florida
$96K
TSW
758
Thompson Siegel & Walmsley
Virginia
$94K
RWA
759
Ropes Wealth Advisors
Massachusetts
$89K +$27K +247 +33%
WAP
760
Wealthcare Advisory Partners
Pennsylvania
$87K -$221K -2,022 -67%
FMII
761
Farmers & Merchants Investments Inc
Nebraska
$87K +$328 +3 +0.3%
UFG
762
United Fire Group
Iowa
$83K
TFA
763
Toth Financial Advisory
Virginia
$81K +$656 +6 +0.7%
SIM
764
Sonora Investment Management
Arizona
$79K +$14.3K +131 +17%
PFBT
765
Parkside Financial Bank & Trust
Missouri
$76K -$52K -476 -36%
IA
766
IFP Advisors
Florida
$76K -$8.31K -76 -9%
SIC
767
Salem Investment Counselors
North Carolina
$73K
WPA
768
West Paces Advisors
Georgia
$72.6K -$3.72K -34 -4%
APA
769
American Portfolios Advisors
New York
$71.7K -$51.1K -467 -37%
CAL
770
Capital Advisors Ltd
Ohio
$71K
VCM
771
Versant Capital Management
Arizona
$70K -$875 -8 -1%
AFIA
772
America First Investment Advisors
Nebraska
$70K
M
773
MOTCO
Texas
$70K +$4.7K +43 +6%
QAM
774
QCI Asset Management
New York
$69K
PFGIA
775
Patriot Financial Group Insurance Agency
Massachusetts
$68K -$417K -3,818 -84%