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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
MSA
1001
Marino Stram & Associates
Massachusetts
$366K +$27.5K +155 +8%
BBHC
1002
Brown Brothers Harriman & Co
New York
$360K -$93.7K -529 -21%
AIA
1003
Angeles Investment Advisors
California
$360K +$363K +2,050 New
RB
1004
Renasant Bank
Mississippi
$359K
KP
1005
Keel Point
Alabama
$357K -$35.4K -200 -9%
GP
1006
Girard Partners
Pennsylvania
$357K
CA
1007
Claro Advisors
Massachusetts
$353K +$10.5K +59 +3%
CA
1008
Centerpoint Advisors
Massachusetts
$352K
RC
1009
RBF Capital
California
$352K
AF
1010
Advisornet Financial
Minnesota
$347K +$7.09K +40 +2%
FDCDDQ
1011
Federation des caisses Desjardins du Quebec
Quebec, Canada
$346K +$5.85K +33 +2%
SC
1012
Savant Capital
Illinois
$344K +$66.8K +377 +24%
SGA
1013
Seaport Global Advisors
Massachusetts
$344K +$346K +1,955 New
Fisher Asset Management
1014
Fisher Asset Management
Washington
$343K +$81.5K +460 +31%
BCM
1015
Blume Capital Management
California
$342K
FPS
1016
Fieldpoint Private Securities
Connecticut
$341K +$7.97K +45 +2%
AL
1017
Aspiriant LLC
California
$341K +$79.4K +448 +30%
DWT
1018
Dorsey & Whitney Trust
South Dakota
$337K -$26.2K -148 -7%
KWM
1019
Kolinsky Wealth Management
New Jersey
$334K +$337K +1,899 New
LIA
1020
LBMC Investment Advisors
Tennessee
$333K
TC
1021
Titleist Capital
Texas
$333K +$336K +1,895 New
KFSC
1022
Keystone Financial Services (Colorado)
Colorado
$332K +$335K +1,893 New
CFG
1023
Citizens Financial Group
Rhode Island
$331K -$283K -1,598 -46%
MMPW
1024
Mitchell McLeod Pugh & Williams
Alabama
$331K
CCA
1025
Cobblestone Capital Advisors
New York
$330K