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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
Cohen & Steers
1001
Cohen & Steers
New York
$33K -$8.49K -64 -22%
SL
1002
Savior LLC
Massachusetts
$33K
SLF
1003
Sun Life Financial
Ontario, Canada
$33K +$133 +1 +0.5%
TFGT
1004
TS Financial Group (TSFG)
Illinois
$32K
HR
1005
Howe & Rusling
New York
$30K +$27.1K +204 New
Loomis, Sayles & Company
1006
Loomis, Sayles & Company
Massachusetts
$29K -$2.39K -18 -8%
CG
1007
Cutler Group
California
$29K +$26.8K +202 New
D
1008
Diversified
Delaware
$29K +$32.8K +247 New
CFGS
1009
Concourse Financial Group Securities
Alabama
$28K -$1.19K -9 -5%
KFI
1010
Key Financial Inc
Pennsylvania
$28K +$25.3K +191 New
TFO
1011
Tarbox Family Office
California
$27K +$1.59K +12 +7%
LWA
1012
Lenox Wealth Advisors
New York
$26K -$19.4K -146 -45%
GAM
1013
Gemmer Asset Management
California
$26K -$133 -1 -0.6%
PMFA
1014
Plante Moran Financial Advisors
Michigan
$26K
EARNEST Partners
1015
EARNEST Partners
Georgia
$25K
TFS
1016
TrustCore Financial Services
Tennessee
$24K +$21.4K +161 New
AWG
1017
Altus Wealth Group
Colorado
$23K +$20.6K +155 New
TAM
1018
Tucker Asset Management
Colorado
$22.6K +$20.3K +153 New
TFIPS
1019
Towarzystwo Funduszy Inwestycyjnych PZU SA
$22.2K +$19.9K +150 New
MHR
1020
Matthew Hamilton Rosenberg
$22K
EI
1021
Ellevest Inc
New York
$22K +$16.4K +124 +477%
BWA
1022
BDO Wealth Advisors
Florida
$21K
CYG
1023
Clean Yield Group
Vermont
$21K
EIM
1024
Essex Investment Management
Massachusetts
$21K
HFA
1025
Hoover Financial Advisors
Pennsylvania
$21K +$17.2K +130 New