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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
PCM
1076
Polymer Capital Management
New York
$633K +$620K +2,578 New
I
1077
InceptionR
California
$631K +$617K +2,567 New
WTB
1078
Washington Trust Bank
Washington
$629K
SIM
1079
Stratos Investment Management
Ohio
$629K -$26.4K -110 -4%
SP
1080
Stablepoint Partners
Massachusetts
$628K -$481 -2 -0.1%
WSCM
1081
Wellington Shields Capital Management
New York
$627K
IAG
1082
Ipsen Advisor Group
Arkansas
$621K -$13K -54 -2%
IAIM
1083
International Assets Investment Management
Florida
$620K
POIA
1084
Pin Oak Investment Advisors
Texas
$619K -$20.2K -84 -3%
RSWM
1085
Robertson Stephens Wealth Management
California
$617K +$137K +568 +29%
CFP
1086
Catalyst Financial Partners
Massachusetts
$614K +$15.9K +66 +3%
CTC
1087
Central Trust Company
Missouri
$613K -$6.49K -27 -1%
PP
1088
PDS Planning
Ohio
$613K +$7.93K +33 +1%
HWMG
1089
Hurlow Wealth Management Group
Indiana
$611K -$15.4K -64 -3%
AIM
1090
Anchor Investment Management
South Carolina
$611K
FAFN
1091
First Affirmative Financial Network
Colorado
$606K -$68.8K -286 -10%
BWCS
1092
Beirne Wealth Consulting Services
Connecticut
$606K +$593K +2,465 New
PL
1093
Perpetual Ltd
Australia
$604K -$270K -1,124 -31%
SF
1094
Symphony Financial
Texas
$604K -$94K -391 -14%
DW30
1095
Drucker Wealth 3.0
New Jersey
$601K -$107K -447 -15%
HL
1096
HeadInvest LLC
Maine
$600K -$18K -75 -3%
CFFP
1097
Center for Financial Planning
Michigan
$599K +$160K +665 +38%
AA
1098
Alta Advisers
United Kingdom
$599K
LSA
1099
Lansing Street Advisors
Pennsylvania
$598K +$1.2K +5 +0.2%
FCM
1100
Fortis Capital Management
Washington
$598K +$7.45K +31 +1%