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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
ETC
851
Exchange Traded Concepts
Oklahoma
$58K -$447K -4,073 -90%
SSB
852
Sandy Spring Bank
Maryland
$58K +$34.4K +313 +191%
AF
853
Allworth Financial
California
$57K
AF
854
Advisornet Financial
Minnesota
$55K -$12.2K -111 -20%
MA
855
MCF Advisors
Kentucky
$54K
FFC
856
First Financial Corp
Indiana
$53K -$11K -100 -19%
EFSCE
857
Enterprise Financial Services Corp (EFSC)
Missouri
$53K -$3.08K -28 -6%
CHC
858
City Holding Co
West Virginia
$53K
TF
859
Tompkins Financial
New York
$50K -$15.5K -141 -26%
LWM
860
Liberty Wealth Management
California
$50K -$2.2K -20 -5%
CBT
861
Central Bank & Trust
Kentucky
$49K -$436K -3,970 -91%
PCG
862
Private Capital Group
Connecticut
$49K +$220 +2 +0.5%
BCA
863
Berman Capital Advisors
Georgia
$45K -$9.66K -88 -19%
JFGIW
864
Johnson Financial Group Inc (Wisconsin)
Wisconsin
$45K -$2.96K -27 -7%
OIA
865
Optimum Investment Advisors
Illinois
$42K +$220 +2 +0.6%
Acadian Asset Management
866
Acadian Asset Management
Massachusetts
$42K +$37.8K +344 New
CB
867
Community Bank
New York
$41K +$24.2K +220 +190%
LWA
868
Lenox Wealth Advisors
New York
$40K
CLOS
869
Compagnie Lombard Odier SCmA
Switzerland
$37K
NEAM
870
New England Asset Management
Connecticut
$37K
RCA
871
Ranch Capital Advisors
Florida
$37K
AF
872
Arrow Financial
New York
$36K
Cohen & Steers
873
Cohen & Steers
New York
$35K +$10.3K +94 +49%
BCA
874
Bray Capital Advisors
Florida
$34K
AWA
875
Arkadios Wealth Advisors
Georgia
$33K +$9.22K +84 +43%