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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
AO
1326
Advisor OS
Illinois
$261K +$2.7K +12 +1%
AF
1327
Advisornet Financial
Minnesota
$260K +$42.8K +190 +20%
VC
1328
Veery Capital
Delaware
$260K +$3.15K +14 +1%
FMII
1329
Farmers & Merchants Investments Inc
Nebraska
$259K -$901 -4 -0.4%
BC
1330
Belmont Capital
California
$259K
CSPAM
1331
Cary Street Partners Asset Management
Virginia
$259K
GG
1332
Greenwood Gearhart
Arkansas
$259K
BBA
1333
Baader Bank Aktiengesellschaft
Germany
$259K -$2.25K -10 -0.9%
HB
1334
Horizon Bancorp
Indiana
$258K +$901 +4 +0.4%
CWM
1335
Connecticut Wealth Management
Connecticut
$257K -$63.3K -281 -20%
HCM
1336
Hollencrest Capital Management
California
$256K +$4.28K +19 +2%
AWE
1337
Avidian Wealth Enterprises
Texas
$256K +$5.86K +26 +2%
BSB
1338
Bangor Savings Bank
Maine
$256K
AL
1339
ADE LLC
Maryland
$253K
CD
1340
Chapin Davis
Maryland
$251K
SL
1341
SFM LLC
New Hampshire
$251K
RCG
1342
Regatta Capital Group
California
$249K -$13.7K -61 -5%
SWM
1343
Segment Wealth Management
Texas
$248K -$5.18K -23 -2%
NIM
1344
Northeast Investment Management
Massachusetts
$248K
ACM
1345
Allred Capital Management
Texas
$246K +$241K +1,071 New
HCM
1346
Hengehold Capital Management
Ohio
$245K
CWG
1347
Cornerstone Wealth Group
North Carolina
$245K +$240K +1,064 New
MCM
1348
Morton Capital Management
California
$244K +$12.2K +54 +5%
MC
1349
Mirabaud & Cie
Switzerland
$244K
NP
1350
Nilsine Partners
Colorado
$242K -$32.7K -145 -12%