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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
IB
826
Intrust Bank
Kansas
$386K +$3.2K +20 +0.9%
DBT
827
Dubuque Bank & Trust
Iowa
$383K +$61.7K +385 +21%
AA
828
ALPS Advisors
Colorado
$382K
ACI
829
Alpha Cubed Investments
California
$379K -$16K -100 -4%
FCBT
830
First Citizens Bank & Trust
North Carolina
$377K +$46.5K +290 +15%
O
831
Ossiam
France
$374K -$232K -1,447 -39%
GBT
832
Grove Bank & Trust
Florida
$373K
CPO
833
Cerity Partners OCIO
New York
$370K -$4.33K -27 -1%
EP
834
Eudaimonia Partners
Tennessee
$366K +$73.8K +461 +28%
SAM
835
Synergy Asset Management
Washington
$365K +$339K +2,116 New
BCM
836
Blume Capital Management
California
$361K
CDH
837
Charles D. Hyman
$358K
LNC
838
Lincoln National Corp
Pennsylvania
$358K +$21.8K +136 +7%
BFA
839
Beaumont Financial Advisors
Massachusetts
$355K +$2.72K +17 +0.8%
GP
840
Girard Partners
Pennsylvania
$352K +$328K +2,045 New
RB
841
Renasant Bank
Mississippi
$348K +$1.92K +12 +0.6%
EM
842
ELCO Management
New York
$344K
RC
843
RBF Capital
California
$344K
CA
844
Centerpoint Advisors
Massachusetts
$344K +$320K +2,000 New
LSA
845
L & S Advisors
California
$344K +$320K +2,000 New
ZB
846
Zions Bancorporation
Utah
$343K +$242K +1,508 +312%
AWMT
847
AAFMAA Wealth Management & Trust
North Carolina
$340K -$4.01M -25,004 -93%
PCS
848
Personal CFO Solutions
New Jersey
$340K +$25.6K +160 +9%
HTC
849
Haverford Trust Company
Pennsylvania
$340K +$316K +1,975 New
CG
850
Caprock Group
Idaho
$338K -$75.1K -469 -19%