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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
SL
1401
SFM LLC
New Hampshire
$257K
WSFG
1402
Wall Street Financial Group
Illinois
$255K +$223K +1,073 New
CC
1403
Courier Capital
New York
$255K
CD
1404
Chapin Davis
Maryland
$254K -$1.25K -6 -0.6%
PTC
1405
Philadelphia Trust Company
Pennsylvania
$254K
HCM
1406
Hengehold Capital Management
Ohio
$254K
GPW
1407
Genesis Private Wealth
Virginia
$253K -$2.5K -12 -1%
LA
1408
Lifeworks Advisors
Michigan
$253K -$2.92K -14 -1%
MEG
1409
Millstone Evans Group
Colorado
$253K
MMM
1410
Mendel Money Management
Illinois
$253K +$221K +1,061 New
NA
1411
Note Advisors
New York
$251K -$10.2K -49 -4%
AMCA
1412
Arthur M. Cohen & Associates
Illinois
$250K -$30K -144 -12%
WWM
1413
Whalen Wealth Management
Nevada
$248K +$217K +1,043 New
DLCIG
1414
D.L. Carlson Investment Group
New Hampshire
$248K -$68.7K -330 -24%
MCM
1415
Mengis Capital Management
Oregon
$248K
ATS
1416
Ashton Thomas Securities
New York
$246K -$10.8K -52 -5%
OA
1417
Operose Advisors
Wisconsin
$246K +$111K +535 +107%
AW
1418
Apricus Wealth
South Carolina
$246K -$72.9K -350 -25%
OWM
1419
Omnitrust Wealth Management
Florida
$246K +$129K +619 New
WFA
1420
Websterrogers Financial Advisors
South Carolina
$246K
SIMG
1421
Sonora Investment Management Group
Arizona
$246K +$2.08K +10 +1%
1WM
1422
1900 Wealth Management
Texas
$245K +$6.66K +32 +3%
MAG
1423
MRA Advisory Group
New Jersey
$245K +$4.17K +20 +2%
PL
1424
Plancorp LLC
Missouri
$245K +$214K +1,029 New
GAAM
1425
Guinness Atkinson Asset Management
California
$244K -$35.6K -171 -14%