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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
BCP
1076
Blue Chip Partners
Michigan
$225K +$949 +6 +0.4%
DA
1077
Dillon & Associates
Michigan
$225K +$27.7K +175 +12%
BBNA
1078
Bremer Bank National Association
Minnesota
$224K -$75.7K -479 -23%
PP
1079
Patten & Patten
Tennessee
$223K
WFA
1080
Websterrogers Financial Advisors
South Carolina
$223K
AR
1081
Apeiron RIA
Texas
$223K +$253K +1,602 New
DIM
1082
Delta Investment Management
California
$223K +$253K +1,602 New
AF
1083
Advisornet Financial
Minnesota
$222K +$16.3K +103 +7%
THWM
1084
Taylor Hoffman Wealth Management
Virginia
$221K
BJL
1085
Brighton Jones LLC
Washington
$221K +$26.1K +165 +12%
SXL
1086
Summit X LLC
Missouri
$221K +$251K +1,587 New
RCM
1087
Raleigh Capital Management
North Carolina
$220K +$6.8K +43 +3%
SA
1088
Syntax Advisors
New York
$220K +$21.5K +136 +9%
VCG
1089
Vantage Consulting Group
Virginia
$220K +$21.5K +136 +9%
SAI
1090
Systematic Alpha Investments
New Jersey
$218K
KP
1091
Keel Point
Alabama
$218K +$8.22K +52 +3%
CNC
1092
Canandaigua National Corp
New York
$217K -$8.7K -55 -3%
EH
1093
Equitable Holdings
New York
$217K -$5.22K -33 -2%
MBT
1094
Montecito Bank & Trust
California
$217K
IVP
1095
Intrinsic Value Partners
Arizona
$216K
CCA
1096
Column Capital Advisors
Indiana
$213K
CA
1097
CoreCap Advisors
Michigan
$213K +$22.9K +145 +10%
ClearBridge Investments
1098
ClearBridge Investments
New York
$212K
NB
1099
Northwest Bancshares
Pennsylvania
$212K
LWM
1100
Laidlaw Wealth Management
New York
$212K +$4.9K +31 +2%