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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
NRC
1351
New Republic Capital
North Carolina
$288K -$20.8K -100 -8%
CCA
1352
Catalyst Capital Advisors
New York
$287K -$47.3K -227 -16%
DCM
1353
Donaldson Capital Management
Indiana
$287K
MSA
1354
Marino Stram & Associates
Massachusetts
$286K +$7.91K +38 +3%
FPL
1355
Fortress Private Ledger
North Carolina
$285K +$250K +1,199 New
AR
1356
Apeiron RIA
Texas
$285K
AF
1357
Advisornet Financial
Minnesota
$284K -$3.12K -15 -1%
CCMIC
1358
Cardinal Capital Management Inc (Canada)
Manitoba, Canada
$283K +$248K +1,190 New
CAL
1359
Capital Advisors Ltd
Ohio
$283K +$2.5K +12 +1%
WMA
1360
Wealth Management Associates
New Jersey
$283K
TTWM
1361
TCV Trust & Wealth Management
Virginia
$282K +$247K +1,185 New
CIS
1362
Custom Index Systems
New York
$282K -$41.9K -201 -15%
C
1363
Certuity
Florida
$281K +$16.7K +80 +7%
RF
1364
Roxbury Financial
New Jersey
$281K -$16.2K -78 -6%
BLC
1365
Brown, Lisle/Cummings
Rhode Island
$280K
BC
1366
Bayforest Capital
United Kingdom
$279K -$224K -1,076 -48%
CIA
1367
Capital Investment Advisors
Georgia
$279K +$12.7K +61 +5%
TAM
1368
Tucker Asset Management
Colorado
$279K +$8.12K +39 +3%
PCA
1369
Purkiss Capital Advisors
Connecticut
$279K +$833 +4 +0.3%
SAI
1370
Savvy Advisors Inc
New York
$279K +$244K +1,170 New
BS
1371
Brighton Securities
New York
$278K -$84.3K -405 -26%
FCB
1372
First County Bank
Connecticut
$278K -$60K -288 -20%
AA
1373
Argent Advisors
Louisiana
$278K +$208 +1 +0.1%
RPC
1374
Rossmore Private Capital
Connecticut
$275K -$4.37K -21 -2%
PDL
1375
Portfolio Design Labs
California
$275K -$4.29M -20,590 -95%