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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
OA
1351
Operose Advisors
Wisconsin
$146K
CF
1352
Centaurus Financial
California
$140K +$137K +710 New
LWANC
1353
Laurel Wealth Advisors (North Carolina)
North Carolina
$135K
CHC
1354
City Holding Co
West Virginia
$133K
RIL
1355
Rothschild Investment LLC
Illinois
$132K +$15.8K +82 +14%
KFS
1356
Kelly Financial Services
Massachusetts
$128K +$9.23K +48 +8%
MFA
1357
McClarren Financial Advisors
Pennsylvania
$127K +$769 +4 +0.6%
VCM
1358
Versant Capital Management
Arizona
$124K -$77.5K -403 -39%
IBOK
1359
Independence Bank of Kentucky
Kentucky
$123K +$57.7K +300 +93%
ADL
1360
Asset Dedication LLC
California
$123K -$41.3K -215 -26%
FUBT
1361
First United Bank & Trust
Maryland
$122K
RG
1362
Retirement Group
California
$121K +$15K +78 +15%
BGAI
1363
Bruce G. Allen Investments
Colorado
$121K -$7.5K -39 -6%
AA
1364
Addison Advisors
Vermont
$119K
NS
1365
NBC Securities
Alabama
$115K -$13.3K -69 -12%
DCM
1366
Disciplina Capital Management
Tennessee
$114K +$577 +3 +0.5%
HWA
1367
Heritage Wealth Advisors
Virginia
$111K +$192 +1 +0.2%
PFA
1368
Pathway Financial Advisers
Indiana
$111K +$385 +2 +0.4%
MHR
1369
Matthew Hamilton Rosenberg
$107K
SAG
1370
Spotlight Asset Group
Illinois
$106K
SC
1371
Stephens Consulting
Michigan
$105K
WB
1372
Webster Bank
Connecticut
$105K
PMFA
1373
Plante Moran Financial Advisors
Michigan
$104K +$39.2K +204 +63%
CFGS
1374
Concourse Financial Group Securities
Alabama
$104K -$13.5K -70 -12%
CSB
1375
City State Bank
Iowa
$103K