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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
HM
951
Harvest Management
New York
$500K
JF
952
Jump Financial
Illinois
$500K +$526K +2,855 New
PCM
953
Parsons Capital Management
Rhode Island
$498K
SC
954
Syon Capital
California
$498K +$524K +2,842 New
WT
955
Whittier Trust
California
$490K +$27.8K +151 +6%
ClearBridge Investments
956
ClearBridge Investments
New York
$487K +$137K +744 +37%
HL
957
HeadInvest LLC
Maine
$487K +$108K +587 +27%
HWMG
958
Hurlow Wealth Management Group
Indiana
$484K -$184 -1 -0%
WSCM
959
Wellington Shields Capital Management
New York
$481K
AAG
960
Armstrong Advisory Group
Massachusetts
$479K
Verition Fund Management
961
Verition Fund Management
Connecticut
$476K -$378K -2,051 -43%
BAM
962
Berkshire Asset Management
Pennsylvania
$471K -$56.6K -307 -10%
TIMH
963
Tilt Investment Management Holdings
New York
$470K
BOM
964
Bank of Marin
California
$467K
LA
965
Legacy Advisors
Pennsylvania
$465K +$10.9K +59 +2%
PCS
966
Personal CFO Solutions
New Jersey
$465K -$191K -1,038 -28%
ACM
967
Argent Capital Management
Missouri
$464K
TCA
968
Transcend Capital Advisors
New Jersey
$463K -$282K -1,530 -37%
CWAG
969
Compton Wealth Advisory Group
Virginia
$462K
PFGIA
970
Patriot Financial Group Insurance Agency
Massachusetts
$461K +$132K +715 +37%
CS
971
Comerica Securities
Michigan
$461K +$486K +2,635 New
SC
972
SRB Corp
Massachusetts
$460K +$485K +2,629 New
WMA
973
West Michigan Advisors
Michigan
$460K -$13.3K -72 -3%
Los Angeles Capital Management
974
Los Angeles Capital Management
California
$459K -$17.9K -97 -4%
GWM
975
GoalFusion Wealth Management
Texas
$459K