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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
IC
1001
Iconiq Capital
California
$724K -$42.1K -202 -6%
PFT
1002
Providence First Trust
Arizona
$721K -$61.4K -295 -9%
HFS
1003
Hantz Financial Services
Michigan
$718K +$573K +2,752 +1,046%
TGAM
1004
TBH Global Asset Management
Tennessee
$714K -$21.2K -102 -3%
SACTSONJ
1005
Supplemental Annuity Collective Trust (SACT) of New Jersey
New Jersey
$714K
PAMS
1006
Pinpoint Asset Management (Singapore)
$714K +$625K +3,000 New
KP
1007
Keel Point
Alabama
$713K +$45.4K +218 +8%
AAMU
1008
AEGON Asset Management (UK)
United Kingdom
$712K
AI
1009
Accredited Investors
Minnesota
$711K
ZIG
1010
Zullo Investment Group
Pennsylvania
$709K -$12.7K -61 -2%
SS
1011
Sunbelt Securities
Texas
$709K +$43.9K +211 +7%
AFT
1012
Alpha Family Trust
California
$707K
DW30
1013
Drucker Wealth 3.0
New Jersey
$702K -$203K -974 -25%
ACP
1014
Aviance Capital Partners
Florida
$701K -$26.9K -129 -4%
SPC
1015
Spirepoint Private Client
Florida
$690K -$1.87K -9 -0.3%
CAM
1016
Clark Asset Management
New Hampshire
$690K +$153K +735 +34%
MLL
1017
Moody Lynn & Lieberson
Massachusetts
$685K +$127K +610 +27%
BCM
1018
Boltwood Capital Management
California
$676K -$47.9K -230 -7%
PF
1019
Phoenix Financial
Israel
$675K -$407K -1,953 -41%
FTC
1020
Farmers Trust Company
Ohio
$670K -$110K -530 -16%
AA
1021
Ancora Advisors
Ohio
$662K +$20.6K +99 +4%
PIMG
1022
Patriot Investment Management Group
Tennessee
$660K -$10.6K -51 -2%
FAFN
1023
First Affirmative Financial Network
Colorado
$656K -$9.79K -47 -2%
BP
1024
BNP Paribas
France
$655K -$41.6K -200 -7%
RC
1025
Reik & Co
New York
$653K