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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
ANB
1101
Amarillo National Bank
Texas
$241K
BP
1102
BBR Partners
New York
$240K
SFG
1103
StrategIQ Financial Group
Indiana
$240K +$324 +2 +0.1%
NIM
1104
Northeast Investment Management
Massachusetts
$239K
RWA
1105
Roberts Wealth Advisors
California
$239K
HIA
1106
Harbor Investment Advisory
Maryland
$239K +$3.73K +23 +2%
EWM
1107
EPG Wealth Management
Georgia
$239K +$16.5K +102 +8%
NEPPG
1108
New England Professional Planning Group
Rhode Island
$237K -$8.26K -51 -3%
LWM
1109
Laidlaw Wealth Management
New York
$236K -$55.1K -340 -19%
FCM
1110
Fourpath Capital Management
Oklahoma
$236K -$6.64K -41 -3%
Fisher Asset Management
1111
Fisher Asset Management
Washington
$235K -$85.4K -527 -27%
CCM
1112
Compton Capital Management
Rhode Island
$235K
BWM
1113
Blossom Wealth Management
California
$235K +$10.5K +65 +5%
EWA
1114
EP Wealth Advisors
California
$235K +$230K +1,420 New
RCM
1115
Radnor Capital Management
Pennsylvania
$234K
FMWA
1116
Forvis Mazars Wealth Advisors
Missouri
$233K +$229K +1,413 New
RMDI
1117
R.M. Davis Inc
Maine
$233K +$229K +1,413 New
CNB
1118
Camden National Bank
Maine
$232K +$1.13K +7 +0.5%
PVH
1119
Psagot Value Holdings
Israel
$231K -$71.3K -440 -24%
AIM
1120
AMI Investment Management
Indiana
$231K
CI
1121
Cambiar Investors
Colorado
$231K
QTM
1122
qPULA Trading Management
New York
$231K +$226K +1,396 New
LFA
1123
Legacy Financial Advisors
Kentucky
$230K +$12.8K +79 +6%
WHG
1124
Westwood Holdings Group
Texas
$229K +$2.59K +16 +1%
BTWM
1125
Baker Tilly Wealth Management
Wisconsin
$229K +$8.59K +53 +4%