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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
VT
851
Vise Technologies
New York
$1.1M +$666K +3,013 +140%
FHB
852
First Hawaiian Bank
Hawaii
$1.09M -$191K -864 -14%
1832 Asset Management
853
1832 Asset Management
Ontario, Canada
$1.09M
CI
854
Cigna Investments
Connecticut
$1.08M -$5.31K -24 -0.5%
WANY
855
Wealthspire Advisors (New York)
New York
$1.08M -$39.1K -177 -3%
GL
856
Graypoint LLC
New York
$1.08M +$46.2K +209 +4%
MWM
857
Mission Wealth Management
California
$1.07M +$363K +1,641 +48%
UWS
858
Unique Wealth Strategies
Illinois
$1.07M -$26.7K -121 -2%
CWA
859
Crux Wealth Advisors
California
$1.07M +$1.11M +5,043 New
YIH
860
Y-Intercept (HK)
Hong Kong
$1.07M +$1.11M +5,029 New
LGA
861
Lebenthal Global Advisors
New York
$1.07M +$136K +616 +14%
VEA
862
Virtus ETF Advisers
New York
$1.06M +$242K +1,095 +28%
PFM
863
Potomac Fund Management
Florida
$1.06M +$1.11M +5,003 New
OHWP
864
Oak Harbor Wealth Partners
North Carolina
$1.06M -$28.1K -127 -2%
SFG
865
SevenBridge Financial Group
Pennsylvania
$1.05M -$19.7K -89 -2%
HG
866
Harbor Group
New Hampshire
$1.04M
EWA
867
Exencial Wealth Advisors
Oklahoma
$1.03M +$684K +3,094 +174%
CI
868
CX Institutional
Indiana
$1.03M -$10.4K -47 -1%
TNBTD
869
Trustmark National Bank Trust Department
Mississippi
$1.02M -$41.3K -187 -4%
ECM
870
Evergreen Capital Management
Washington
$1.02M -$2.21K -10 -0.2%
LIM
871
Leavell Investment Management
Alabama
$1.02M -$5.53K -25 -0.5%
MI
872
Motiv8 Investments
Florida
$1.01M +$346K +1,566 +49%
ORC
873
O'Rourke & Company
Massachusetts
$1.01M
AFG
874
Atomi Financial Group
New York
$1.01M +$569K +2,573 +118%
EWM
875
EPG Wealth Management
Georgia
$1.01M +$9.29K +42 +0.9%