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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
SB
876
Simmons Bank
Arkansas
$796K +$6.3K +34 +0.8%
CG
877
Colony Group
Massachusetts
$794K -$35.2K -190 -4%
IWC
878
Integrated Wealth Concepts
Massachusetts
$790K +$189K +1,022 +34%
EWM
879
EPG Wealth Management
Georgia
$787K +$45.6K +246 +6%
PFT
880
Providence First Trust
Arizona
$784K
CT
881
Caldwell Trust
Florida
$784K +$5.56K +30 +0.8%
CA
882
Continuum Advisory
Idaho
$781K -$19.3K -104 -3%
GFA
883
Gifford Fong Associates
California
$779K
LFM
884
Lumina Fund Management
New York
$779K
STA
885
Summit Trail Advisors
New York
$777K +$102K +552 +16%
PWPS
886
Pinnacle Wealth Planning Services
Ohio
$777K -$12.2K -66 -2%
MWM
887
Moran Wealth Management
Florida
$774K +$736K +3,973 New
KLC
888
Knowledge Leaders Capital
Colorado
$771K -$567K -3,059 -44%
TAM
889
Taurus Asset Management
New York
$766K
FIA
890
Foundations Investment Advisors
Arizona
$759K -$356K -1,923 -33%
RFC
891
Regions Financial Corp
Alabama
$756K -$49.8K -269 -6%
BIA
892
Beacon Investment Advisors
Maryland
$756K
NF
893
Norwood Financial
Pennsylvania
$740K
E
894
Ergoteles
New York
$736K -$727K -3,926 -51%
AMG
895
Asset Management Group
Connecticut
$730K +$3.15K +17 +0.5%
CAG
896
Csenge Advisory Group
Florida
$730K -$30.7K -166 -4%
PCS
897
Personal CFO Solutions
New Jersey
$719K +$6.11K +33 +0.9%
SIA
898
SkyView Investment Advisors
New Jersey
$719K -$80.2K -433 -11%
BEI
899
Benjamin Edwards Inc
Missouri
$712K -$124K -670 -15%
P
900
Pitcairn
Pennsylvania
$712K -$25.7K -139 -4%