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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
CYG
1076
Clean Yield Group
Vermont
$24K +$22.4K +140 New
WB
1077
Webster Bank
Connecticut
$23K
HFA
1078
Hoover Financial Advisors
Pennsylvania
$22K -$961 -6 -4%
JWA
1079
JFS Wealth Advisors
Pennsylvania
$22K
WBC
1080
West Branch Capital
Massachusetts
$22K +$20.3K +127 New
PMFA
1081
Plante Moran Financial Advisors
Michigan
$21K -$8.65K -54 -31%
FAM
1082
Fred Alger Management
New York
$21K
RMC
1083
Resources Management Corp
Connecticut
$21K
LCM
1084
Logan Capital Management
Pennsylvania
$21K +$17.3K +108 +771%
CB
1085
Community Bank
New York
$20K
CFA
1086
Carroll Financial Associates
North Carolina
$20K +$2.88K +18 +18%
Optiver Holding
1087
Optiver Holding
Netherlands
$20K +$18.7K +117 New
CQS
1088
Credential Qtrade Securities
$19.6K -$481 -3 -3%
HFS
1089
Hantz Financial Services
Michigan
$19K
Cohen & Steers
1090
Cohen & Steers
New York
$18K
AWM
1091
AllSquare Wealth Management
New York
$17K
RIM
1092
Rockbridge Investment Management
New York
$17K
CMA
1093
Cedar Mountain Advisors
Oregon
$16K -$160 -1 -1%
HFM
1094
Harvest Fund Management
China
$16K
TWA
1095
TCI Wealth Advisors
Arizona
$16K +$2.4K +15 +19%
WP
1096
WealthShield Partners
North Carolina
$15K
SWA
1097
Sutton Wealth Advisors
Florida
$14.8K -$2.08K -13 -13%
1IA
1098
1834 Investment Advisors
Wisconsin
$14K
BMD
1099
Better Money Decisions
New Mexico
$14K
COCM
1100
Charter Oak Capital Management
New Hampshire
$14K