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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
BCM
976
Becker Capital Management
Oregon
$202K -$24.2K -151 -11%
BAM
977
Belpointe Asset Management
Nevada
$201K +$187K +1,167 New
EN1L
978
Engine No 1 LLC
California
$201K +$187K +1,169 New
RG
979
Retirement Group
California
$197K
LC
980
Lindbrook Capital
California
$190K -$5.77K -36 -3%
AL
981
ADE LLC
Maryland
$189K
BCA
982
Berman Capital Advisors
Georgia
$181K -$31.1K -194 -16%
AssetMark Inc
983
AssetMark Inc
California
$172K +$4.65K +29 +3%
FMII
984
Farmers & Merchants Investments Inc
Nebraska
$171K
M
985
MOTCO
Texas
$168K
SIC
986
Salem Investment Counselors
North Carolina
$168K
EWA
987
Evolution Wealth Advisors
Florida
$167K +$147K +916 +1,728%
GWSG
988
GPS Wealth Strategies Group
Colorado
$163K
ST
989
Smithfield Trust
Pennsylvania
$163K
UFG
990
United Fire Group
Iowa
$160K
TFA
991
Toth Financial Advisory
Virginia
$160K +$641 +4 +0.4%
SFPG
992
Stonebridge Financial Planning Group
Florida
$159K
EWM
993
Endurance Wealth Management
Rhode Island
$156K
FHC
994
First Horizon Corporation
Tennessee
$155K +$1.92K +12 +1%
AWA
995
Arkadios Wealth Advisors
Georgia
$152K -$4K -25 -3%
MCM
996
Manchester Capital Management
Vermont
$148K +$5.13K +32 +4%
Canada Pension Plan Investment Board
997
Canada Pension Plan Investment Board
Ontario, Canada
$144K -$3.43M -21,383 -96%
SSB
998
Sandy Spring Bank
Maryland
$143K +$34.8K +217 +35%
WPA
999
West Paces Advisors
Georgia
$139K
TFM
1000
TFC Financial Management
Massachusetts
$137K +$7.05K +44 +6%