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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
FIM
1076
Freedom Investment Management
Connecticut
$510K +$67.8K +301 +16%
BCMO
1077
Buckingham Capital Management (Ohio)
Ohio
$510K -$58.6K -260 -11%
NB
1078
Northwest Bancshares
Pennsylvania
$510K -$41.9K -186 -8%
ACGA
1079
Atlanta Consulting Group Advisors
Georgia
$508K +$498K +2,209 New
ECG
1080
Edge Capital Group
Georgia
$508K
MMPW
1081
Mitchell McLeod Pugh & Williams
Alabama
$507K +$1.35K +6 +0.3%
PIA
1082
Perennial Investment Advisors
California
$507K +$1.13K +5 +0.2%
LSV Asset Management
1083
LSV Asset Management
Illinois
$506K
AFG
1084
Atomi Financial Group
New York
$503K +$60.8K +270 +14%
KP
1085
Keel Point
Alabama
$503K +$22.3K +99 +5%
SRL
1086
Scientech Research LLC
New Jersey
$502K -$1.8M -7,994 -79%
RWP
1087
Revolve Wealth Partners
New Jersey
$500K +$243K +1,080 +99%
PWP
1088
Principle Wealth Partners
Connecticut
$499K +$37.6K +167 +8%
VT
1089
Vise Technologies
New York
$496K +$255K +1,130 +110%
EH
1090
Equitable Holdings
New York
$490K +$157K +699 +49%
CT
1091
Chicago Trust
Illinois
$490K -$6.31K -28 -1%
MHIC
1092
Marble Harbor Investment Counsel
Massachusetts
$489K
ACM
1093
Argent Capital Management
Missouri
$487K
PP
1094
PDS Planning
Ohio
$486K +$59.9K +266 +14%
ClearBridge Investments
1095
ClearBridge Investments
New York
$484K +$62.9K +279 +15%
FWTB
1096
First Western Trust Bank
Colorado
$483K
FPAS
1097
Focus Partners Advisor Solutions
Missouri
$482K -$48.2K -214 -9%
HM
1098
Harvest Management
New York
$476K
AFG
1099
Argent Financial Group
Louisiana
$475K +$465K +2,063 New
JIC
1100
Joel Isaacson & Co
New York
$473K