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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
PIM
1076
Perpetual Investment Management
Australia
$274K
BWM
1077
BerganKDV Wealth Management
Minnesota
$273K +$3.72K +21 +1%
IVP
1078
Intrinsic Value Partners
Arizona
$273K +$275K +1,552 New
FC
1079
Forte Capital
New York
$271K -$1.14M -6,459 -81%
NB
1080
Northwest Bancshares
Pennsylvania
$268K -$25.2K -142 -9%
ECM
1081
Evergreen Capital Management
Washington
$268K -$3.54K -20 -1%
BWP
1082
BSW Wealth Partners
Colorado
$267K +$9.21K +52 +4%
ClearBridge Investments
1083
ClearBridge Investments
New York
$265K -$198K -1,118 -43%
CWP
1084
CFM Wealth Partners
Texas
$265K
BCM
1085
Bluefin Capital Management
New York
$264K -$329K -1,857 -55%
POIA
1086
Pin Oak Investment Advisors
Texas
$264K
AWM
1087
Accurate Wealth Management
Florida
$264K +$6.03K +34 +11%
DBIA
1088
Dumont & Blake Investment Advisors
New Jersey
$264K +$15.2K +86 +6%
MCM
1089
MV Capital Management
Maryland
$262K +$7.44K +42 +3%
ARC
1090
Advisor Resource Council
Texas
$262K +$265K +1,494 New
RCAG
1091
Rehmann Capital Advisory Group
Michigan
$262K +$10.8K +61 +4%
CCA
1092
Column Capital Advisors
Indiana
$261K -$9.92K -56 -4%
BHC
1093
Bowen Hanes & Co
Florida
$260K
VFA
1094
Valeo Financial Advisors
Indiana
$258K +$15.9K +90 +7%
FCM
1095
Fourpath Capital Management
Oklahoma
$258K +$260K +1,469 New
NL
1096
NWAM LLC
Washington
$258K +$260K +1,470 New
BFIM
1097
Beese Fulmer Investment Management
Ohio
$257K
CCMG
1098
Clark Capital Management Group
Pennsylvania
$257K +$259K +1,464 New
RWA
1099
Roberts Wealth Advisors
California
$256K -$24.5K -138 -9%
SC
1100
Scotia Capital
Ontario, Canada
$256K -$5.67K -32 -2%