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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
NERM
1376
New England Research & Management
Illinois
-$508K -3,077 Closed
YIH
1377
Y-Intercept (HK)
Hong Kong
-$506K -3,061 Closed
CCIA
1378
Campbell & Co Investment Adviser
Maryland
-$490K -2,969 Closed
IC
1379
Intersect Capital
California
-$485K -2,936 Closed
OPPTF
1380
OPSEU Pension Plan Trust Fund
Ontario, Canada
-$451K -2,701 Closed
AWMT
1381
AAFMAA Wealth Management & Trust
North Carolina
-$400K -2,421 Closed
SSG
1382
Summit Securities Group
New York
-$391K -2,369 Closed
OA
1383
Oxbow Advisors
Texas
-$357K -2,160 Closed
DA
1384
DCM Advisors
New York
-$330K -2,000 Closed
QT
1385
Quantbot Technologies
New York
-$329K -1,994 Closed
SG
1386
StoneX Group
New York
-$325K -1,968 Closed
VI
1387
Versor Investments
New York
-$323K -1,956 Closed
AAM
1388
Arabesque Asset Management
United Kingdom
-$317K -1,922 Closed
SAM
1389
Strategy Asset Managers
California
-$299K -1,812 Closed
VFA
1390
Valeo Financial Advisors
Indiana
-$294K -1,777 Closed
NP
1391
NorthRock Partners
Minnesota
-$293K -1,776 Closed
BFA
1392
Beaumont Financial Advisors
Massachusetts
-$282K -1,695 Closed
AR
1393
Apeiron RIA
Texas
-$263K -1,629 Closed
FC
1394
Forte Capital
New York
-$271K -1,541 Closed
CWP
1395
CFM Wealth Partners
Texas
-$247K -1,497 Closed
NIM
1396
Northeast Investment Management
Massachusetts
-$239K -1,444 Closed
FCM
1397
Fourpath Capital Management
Oklahoma
-$236K -1,428 Closed
CCM
1398
Compton Capital Management
Rhode Island
-$235K -1,420 Closed
RCM
1399
Radnor Capital Management
Pennsylvania
-$234K -1,415 Closed
RMDI
1400
R.M. Davis Inc
Maine
-$233K -1,413 Closed