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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
CC
776
Chicago Capital
Illinois
$705K
LGA
777
Lebenthal Global Advisors
New York
$703K +$41.6K +263 +5%
FMAEN1
778
Fund Management at Engine No 1
California
$697K -$45.1K -285 -5%
MWA
779
Meridian Wealth Advisors
Texas
$695K
UH
780
Unigestion Holding
Switzerland
$689K +$767K +4,851 New
LI
781
LMCG Investments
Massachusetts
$684K
ACS
782
Archford Capital Strategies
Illinois
$683K +$45.9K +290 +6%
HG
783
Harbor Group
New Hampshire
$680K
LIM
784
Leavell Investment Management
Alabama
$678K
VF
785
Virtu Financial
New York
$675K -$235K -1,483 -23%
QCG
786
Quadrant Capital Group
Ohio
$674K +$44.6K +282 +6%
GW
787
GW & Wade
Massachusetts
$673K +$320K +2,025 +72%
HKAM
788
Horizon Kinetics Asset Management
New York
$668K +$7.12K +45 +0.9%
DADC
789
D.A. Davidson & Co
Montana
$656K -$17.4K -110 -2%
VCA
790
Verdence Capital Advisors
Maryland
$656K +$21.3K +135 +3%
STC
791
Sarah T. Connolly
$655K
NW
792
NewEdge Wealth
Pennsylvania
$650K -$138K -872 -16%
CGL
793
Clarius Group LLC
Washington
$650K +$15.8K +100 +2%
IP
794
Investment Partners
Ohio
$648K +$95.7K +605 +15%
Wolverine Trading
795
Wolverine Trading
Illinois
$648K +$722K +4,563 New
DTL
796
Dynamic Technology Lab
Singapore
$648K +$736K +4,652 New
SCM
797
Salem Capital Management
Massachusetts
$644K
TWI
798
Thomas White International
Illinois
$640K
WFA
799
Wipfli Financial Advisors
Wisconsin
$628K +$713K +4,507 New
HFG
800
Heron Financial Group
New York
$622K +$34.6K +219 +5%