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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
NL
826
NVWM LLC
Pennsylvania
$942K +$174K +942 +24%
LC
827
Lindbrook Capital
California
$942K +$28.7K +155 +3%
HPC
828
HM Payson & Co
Maine
$941K -$35.4K -191 -4%
LIM
829
Leavell Investment Management
Alabama
$938K -$9.26K -50 -1%
CC
830
Cornerstone Capital
California
$934K -$265K -1,431 -23%
AO
831
Advisor OS
Illinois
$933K -$6.67K -36 -0.7%
WIS
832
Wright Investors Service
Connecticut
$932K -$57.4K -310 -6%
CP
833
CenterBook Partners
Connecticut
$932K +$886K +4,782 New
Verition Fund Management
834
Verition Fund Management
Connecticut
$929K -$1.19M -6,421 -57%
CRI
835
Commonwealth Retirement Investments
Virginia
$924K -$3.43M -18,502 -80%
CI
836
CX Institutional
Indiana
$924K +$13.9K +75 +2%
CGL
837
Clarius Group LLC
Washington
$922K +$10.4K +56 +1%
SA
838
SRN Advisors
Pennsylvania
$920K -$26.3K -142 -3%
CAS
839
Coppell Advisory Solutions
Texas
$919K +$89.4K +483 +11%
BBA
840
Baader Bank Aktiengesellschaft
Germany
$915K +$182K +981 +26%
CA
841
Claro Advisors
Massachusetts
$913K +$69.3K +374 +9%
JMFC
842
J.M. Forbes & Co
Massachusetts
$911K
TSS
843
Two Sigma Securities
New York
$910K +$865K +4,672 New
DWT
844
Dorsey & Whitney Trust
South Dakota
$910K +$189K +1,018 +28%
PIMG
845
Patriot Investment Management Group
Tennessee
$909K -$101K -547 -10%
HKAM
846
Horizon Kinetics Asset Management
New York
$905K
STAS
847
Strong Tower Advisory Services
Minnesota
$904K +$38.3K +207 +5%
CG
848
Cutler Group
California
$902K +$827K +4,466 +2,643%
TWI
849
Thomas White International
Illinois
$895K
CC
850
Chicago Capital
Illinois
$895K