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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
MCM
1126
Melvin Capital Management
New York
-$122M -825,000 Closed
CMG
1127
Cavalry Management Group
California
-$40.6M -274,723 Closed
DFO
1128
Duquesne Family Office
New York
-$31.5M -213,328 Closed
PFM
1129
Premier Fund Managers
United Kingdom
-$25.5M -174,500 Closed
TAM
1130
Telemark Asset Management
Massachusetts
-$22.2M -150,000 Closed
Janney Montgomery Scott
1131
Janney Montgomery Scott
Pennsylvania
-$17.8M -120,673 Closed
TG
1132
TCW Group
California
-$17.2M -116,247 Closed
BCM
1133
Bluefin Capital Management
New York
-$15M -101,500 Closed
Group One Trading
1134
Group One Trading
Illinois
-$9.42M -61,282 Closed
MCM
1135
Maytus Capital Management
New York
-$8.86M -60,000 Closed
MSA
1136
Mason Street Advisors
Wisconsin
-$7.53M -50,970 Closed
MWNA
1137
Marshall Wace North America
New York
-$6.52M -44,124 Closed
BA
1138
Bridgewater Associates
Connecticut
-$5.33M -36,089 Closed
First Manhattan
1139
First Manhattan
New York
-$4.21M -28,481 Closed
Nomura Holdings
1140
Nomura Holdings
Japan
-$3.78M -24,580 Closed
QSS
1141
Quantitative Systematic Strategies
Florida
-$3.46M -23,402 Closed
MS
1142
Maven Securities
Jersey
-$3.1M -20,160 Closed
BPM
1143
Bronson Point Management
Connecticut
-$2.96M -20,000 Closed
CM
1144
Crestline Management
Texas
-$2.66M -18,000 Closed
AWAM
1145
Appian Way Asset Management
New York
-$2.52M -17,095 Closed
MF
1146
Magnetar Financial
Illinois
-$2.47M -16,745 Closed
OFG
1147
OTA Financial Group
New York
-$2.33M -15,808 Closed
MHI
1148
Miller Howard Investments
New York
-$1.77M -12,000 Closed
CCM
1149
CAAS Capital Management
New York
-$1.46M -9,850 Closed
FC
1150
FORA Capital
Florida
-$1.17M -7,899 Closed