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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
CIS
1276
Custom Index Systems
New York
$381K +$88.5K +368 +31%
BCP
1277
Blue Chip Partners
Michigan
$381K +$5.53K +23 +2%
MAWA
1278
Moss Adams Wealth Advisors
Washington
$379K +$13.7K +57 +4%
FBT
1279
First Bank & Trust
South Dakota
$379K +$14.7K +61 +4%
BAWM
1280
Bennett Associates Wealth Management
Pennsylvania
$378K -$20.4K -85 -5%
EFS
1281
Essex Financial Services
Connecticut
$378K +$5.05K +21 +1%
SOS
1282
Silver Oak Securities
Tennessee
$377K -$178K -742 -33%
CP
1283
Canopy Partners
Ohio
$377K -$13.9K -58 -4%
GBT
1284
Grove Bank & Trust
Florida
$376K
GL
1285
Gerber LLC
Ohio
$374K +$481 +2 +0.1%
TC
1286
TFR Capital
Texas
$373K
AA
1287
Advisory Alpha
Michigan
$372K -$5.05K -21 -1%
APM
1288
a16z Perennial Management
California
$372K +$364K +1,515 New
ANB
1289
Amarillo National Bank
Texas
$371K
HI
1290
Harrington Investments
California
$371K
CI
1291
Corient IA
Florida
$369K
SIC
1292
Salem Investment Counselors
North Carolina
$368K -$42.6K -177 -11%
MFA
1293
Mayflower Financial Advisors
Massachusetts
$368K -$34.4K -143 -9%
AWM
1294
Aprio Wealth Management
Georgia
$364K +$12.7K +53 +4%
CFG
1295
Cooper Financial Group
California
$364K +$356K +1,481 New
FCM
1296
Fire Capital Management
California
$363K
EPW
1297
Endeavor Private Wealth
Kansas
$363K +$240 +1 +0.1%
IP
1298
Investment Partners
Ohio
$359K -$10.1K -42 -3%
NEPPG
1299
New England Professional Planning Group
Rhode Island
$359K
VCM
1300
Versant Capital Management
Arizona
$357K +$27.6K +115 +9%