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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
PCMH
1701
Polymer Capital Management (HK)
Hong Kong
-$633K -3,200 Closed
IA
1702
Inspire Advisors
Idaho
-$608K -3,072 Closed
BL
1703
Balentine LLC
Georgia
-$576K -2,913 Closed
CA
1704
CoreCap Advisors
Michigan
-$574K -2,904 Closed
FFP
1705
FourThought Financial Partners
Florida
-$564K -2,850 Closed
CIAS
1706
CFS Investment Advisory Services
New Jersey
-$558K -2,823 Closed
AAM
1707
Aureus Asset Management
Massachusetts
-$521K -2,633 Closed
FFM
1708
Fullerton Fund Management
Singapore
-$494K -2,500 Closed
ACL
1709
Applied Capital LLC
Florida
-$456K -2,307 Closed
BS
1710
Banco Santander
Spain
-$435K -2,201 Closed
WIS
1711
Wright Investors Service
Connecticut
-$391K -1,979 Closed
CIS
1712
Custom Index Systems
New York
-$349K -1,765 Closed
RWB
1713
RMR Wealth Builders
New Jersey
-$330K -1,670 Closed
BAM
1714
Belpointe Asset Management
Nevada
-$320K -1,619 Closed
PWM
1715
Power Wealth Management
Georgia
-$314K -1,588 Closed
SCM
1716
Sirios Capital Management
Massachusetts
-$306K -1,548 Closed
CBFP
1717
Cedar Brook Financial Partners
Ohio
-$283K -1,429 Closed
SLG
1718
Stanley-Laman Group
Pennsylvania
-$273K -1,379 Closed
EL
1719
Envoi LLC
Minnesota
-$270K -1,365 Closed
UF
1720
Univest Financial
Pennsylvania
-$261K -1,319 Closed
KIA
1721
KCM Investment Advisors
California
-$226K -1,143 Closed
JWCA
1722
J.W. Cole Advisors
Florida
-$215K -1,086 Closed
AFS
1723
Axiom Financial Strategies
Indiana
-$211K -1,066 Closed
FFWA
1724
FRG Family Wealth Advisors
Washington
-$87.3K -435 Closed
NIC
1725
Northwest Investment Counselors
Oregon
-$69K -349 Closed