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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
PAMG
1126
Patton Albertson Miller Group
Tennessee
$328K
BWM
1127
Blossom Wealth Management
California
$327K +$33.2K +185 +13%
PP
1128
PDS Planning
Ohio
$327K +$297K +1,659 New
BFO
1129
Biltmore Family Office
North Carolina
$325K -$357K -1,991 -55%
BHWM
1130
Bar Harbor Wealth Management
New Hampshire
$324K -$896 -5 -0.3%
CT
1131
Chicago Trust
Illinois
$323K -$896 -5 -0.3%
VVP
1132
Venture Visionary Partners
Ohio
$322K +$59.9K +334 +26%
BCP
1133
Blue Chip Partners
Michigan
$321K +$1.25K +7 +0.4%
HFS
1134
Heritage Financial Services
Massachusetts
$320K -$49.1K -274 -14%
T
1135
TNF
Montana
$320K
IF
1136
Intrua Financial
Texas
$320K -$27.3K -152 -8%
LWM
1137
Laidlaw Wealth Management
New York
$319K
ITIM
1138
Indiana Trust & Investment Management
Indiana
$319K
VWA
1139
V Wealth Advisors
Kansas
$317K +$11.1K +62 +4%
WFA
1140
Websterrogers Financial Advisors
South Carolina
$316K
GCMG
1141
Gyroscope Capital Management Group
Florida
$316K +$287K +1,600 New
PP
1142
Patten & Patten
Tennessee
$315K
BOSSRA
1143
B.O.S.S. Retirement Advisors
Utah
$313K +$47.7K +266 +20%
RCM
1144
Raleigh Capital Management
North Carolina
$311K +$17.7K +99 +7%
ISWM
1145
Independent Solutions Wealth Management
New York
$311K +$283K +1,576 New
Wealth Enhancement Advisory Services
1146
Wealth Enhancement Advisory Services
Minnesota
$310K +$281K +1,570 New
SAI
1147
Systematic Alpha Investments
New Jersey
$309K
MBT
1148
Montecito Bank & Trust
California
$308K
MCM
1149
MV Capital Management
Maryland
$308K +$16K +89 +6%
DI
1150
DFPG Investments
Utah
$307K +$279K +1,557 New