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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
CGL
776
Clarius Group LLC
Washington
$746K
VCA
777
Verdence Capital Advisors
Maryland
$740K +$2.11K +13 +0.3%
AC
778
ASB Consultores
Florida
$740K +$61.4K +379 +9%
Walleye Capital
779
Walleye Capital
New York
$739K -$1.3M -8,017 -64%
FMAEN1
780
Fund Management at Engine No 1
California
$735K +$720K +4,447 New
SP
781
Symmetry Partners
Connecticut
$730K -$146K -902 -17%
LGA
782
Lebenthal Global Advisors
New York
$729K +$220K +1,360 +44%
HBT
783
Hills Bank & Trust
Iowa
$725K +$116K +717 +20%
ACM
784
Advisors Capital Management
New Jersey
$724K -$190K -1,171 -21%
NF
785
Norwood Financial
Pennsylvania
$721K -$48.6K -300 -6%
RC
786
Reik & Co
New York
$721K
SAM
787
Synergy Asset Management
Washington
$717K +$284K +1,751 +68%
CT
788
Cambridge Trust
Massachusetts
$714K +$27.1K +167 +4%
Tudor Investment Corp
789
Tudor Investment Corp
Connecticut
$712K +$698K +4,308 New
APC
790
Aspire Private Capital
North Carolina
$710K +$695K +4,291 +53,638%
SIM
791
Sentry Investment Management
Wisconsin
$708K -$117K -720 -14%
LWM
792
Liberty Wealth Management
California
$708K +$3.08K +19 +0.4%
AAS
793
Avantax Advisory Services
Texas
$705K -$8.43K -52 -1%
WB
794
WesBanco Bank
West Virginia
$701K -$18.6K -115 -3%
SB
795
Simmons Bank
Arkansas
$699K
SFA
796
Sequoia Financial Advisors
Ohio
$699K +$237K +1,461 +53%
GAM
797
Garrison Asset Management
Arkansas
$698K -$16K -99 -2%
SF
798
Summit Financial
New Jersey
$696K +$171K +1,055 +33%
SWM
799
Spire Wealth Management
Virginia
$696K -$39.4K -243 -5%
HLOC
800
H.L. Ormond & Company
North Carolina
$696K +$810 +5 +0.1%