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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
AWM
1001
Angeles Wealth Management
California
$346K +$339K +2,093 New
BEI
1002
Benjamin Edwards Inc
Missouri
$344K -$177K -1,090 -34%
CDH
1003
Charles D. Hyman
$344K
MSA
1004
Marino Stram & Associates
Massachusetts
$344K
SW
1005
Solidarity Wealth
Utah
$341K +$340K +2,100 New
MS
1006
Maven Securities
Jersey
$336K -$20.7K -128 -6%
KFSC
1007
Keystone Financial Services (Colorado)
Colorado
$332K +$46.7K +288 +15%
DA
1008
DCM Advisors
New York
$330K -$102K -631 -24%
HTC
1009
Haverford Trust Company
Pennsylvania
$330K -$29.8K -184 -8%
CA
1010
Centerpoint Advisors
Massachusetts
$330K
AIM
1011
Athena Investment Management
California
$330K +$323K +1,993 New
QT
1012
Quantbot Technologies
New York
$329K -$835K -5,153 -72%
AIA
1013
Alera Investment Advisors
Illinois
$328K +$322K +1,987 New
OTPPB
1014
Ontario Teachers' Pension Plan Board
Ontario, Canada
$326K +$320K +1,975 New
SG
1015
StoneX Group
New York
$325K +$319K +1,968 New
GP
1016
Girard Partners
Pennsylvania
$323K -$12.2K -75 -4%
VI
1017
Versor Investments
New York
$323K +$317K +1,956 New
BCM
1018
Blume Capital Management
California
$322K
GRP
1019
Global Retirement Partners
California
$321K +$321K +1,984 New
DWT
1020
Dorsey & Whitney Trust
South Dakota
$319K +$2.75K +17 +0.9%
ACA
1021
Atlas Capital Advisors
Wyoming
$318K -$198K -1,225 -39%
AAM
1022
Arabesque Asset Management
United Kingdom
$317K -$1.81M -11,182 -85%
JAM
1023
Jupiter Asset Management
United Kingdom
$317K -$305K -1,880 -49%
WP
1024
WealthSource Partners
California
$317K +$14.4K +89 +5%
SC
1025
Savant Capital
Illinois
$316K -$7.13K -44 -2%