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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
CGL
1076
Clarius Group LLC
Washington
$776K -$45.5K -181 -6%
I
1077
InceptionR
California
$775K +$73.4K +292 +11%
CCA
1078
Coign Capital Advisors
Utah
$774K +$21.9K +87 +3%
PCM
1079
Pointe Capital Management
Michigan
$773K -$25.1K -100 -3%
ACIM
1080
Azimuth Capital Investment Management
Michigan
$772K -$25.1K -100 -3%
VA
1081
VestGen Advisors
Illinois
$772K -$37.2K -148 -5%
WT
1082
Whittier Trust
California
$768K -$30.1K -120 -4%
FTC
1083
Farmers Trust Company
Ohio
$763K -$4.77K -19 -0.7%
ORC
1084
O'Rourke & Company
Massachusetts
$759K -$486K -1,935 -41%
HWM
1085
Hohimer Wealth Management
Washington
$759K +$10.1K +40 +1%
CT
1086
Colonial Trust
South Carolina
$758K +$19.6K +78 +3%
BAAM
1087
Baker Avenue Asset Management
California
$755K -$68.3K -272 -9%
ZIG
1088
Zullo Investment Group
Pennsylvania
$754K -$30.9K -123 -4%
NP
1089
Nilsine Partners
Colorado
$745K +$93.2K +371 +16%
WCA
1090
Waratah Capital Advisors
Ontario, Canada
$745K +$690K +2,748 New
SPC
1091
Sigma Planning Corp
Michigan
$736K +$96.7K +385 +17%
E
1092
Evansbrook
Illinois
$734K +$680K +2,706 New
STS
1093
SG Trading Solutions
Utah
$730K +$676K +2,692 New
PIMG
1094
Patriot Investment Management Group
Tennessee
$730K -$16.1K -64 -2%
CCM
1095
Chilton Capital Management
Texas
$726K +$2.76K +11 +0.4%
AWM
1096
Accurate Wealth Management
Florida
$724K +$173K +690 +40%
MFG
1097
MidWestOne Financial Group
Iowa
$724K +$6.03K +24 +0.9%
BA
1098
Bridgewater Associates
Connecticut
$724K -$8.44M -33,595 -93%
FCM
1099
Fortis Capital Management
Washington
$721K +$56.3K +224 +9%
RSWM
1100
Robertson Stephens Wealth Management
California
$719K +$35.4K +141 +6%