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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
KFA
951
Krane Funds Advisors
New York
$586K +$21.3K +115 +4%
SACTSONJ
952
Supplemental Annuity Collective Trust (SACT) of New Jersey
New Jersey
$584K
TGAM
953
TBH Global Asset Management
Tennessee
$584K +$556K +3,000 New
BAM
954
Berkshire Asset Management
Pennsylvania
$584K +$17K +92 +3%
WI
955
WBI Investments
New Jersey
$582K -$4.78M -25,806 -90%
WTB
956
Washington Trust Bank
Washington
$578K +$42.8K +231 +8%
ECM
957
Evergreen Capital Management
Washington
$569K -$15K -81 -3%
NAS
958
Nicolet Advisory Services
Wisconsin
$566K -$16.9K -91 -3%
CFG
959
Citizens Financial Group
Rhode Island
$566K -$261K -1,409 -33%
PGA
960
Portland Global Advisors
Maine
$557K -$28.7K -155 -5%
HM
961
Harvest Management
New York
$557K
PCM
962
Parsons Capital Management
Rhode Island
$554K
AF
963
Allworth Financial
California
$552K +$2.41K +13 +0.5%
DCM
964
Donaldson Capital Management
Indiana
$544K +$9.63K +52 +2%
HWMG
965
Hurlow Wealth Management Group
Indiana
$538K -$185 -1 -0%
WSCM
966
Wellington Shields Capital Management
New York
$536K
ACM
967
Advisors Capital Management
New Jersey
$534K +$37.8K +204 +8%
AAG
968
Armstrong Advisory Group
Massachusetts
$532K
ACL
969
Applied Capital LLC
Florida
$531K -$1.85K -10 -0.4%
AFG
970
Affinia Financial Group
Massachusetts
$530K -$5.93K -32 -1%
Los Angeles Capital Management
971
Los Angeles Capital Management
California
$530K -$17.4M -93,939 -97%
WMA
972
West Michigan Advisors
Michigan
$525K +$230K +1,242 +85%
TIMH
973
Tilt Investment Management Holdings
New York
$523K
BOM
974
Bank of Marin
California
$520K
TNA
975
True North Advisors
Texas
$517K -$156K -840 -24%