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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
TG
151
TCW Group
California
$7.22M +$110K +2,300 +2%
HSA
152
Hussman Strategic Advisors
Maryland
$7.15M
Nisa Investment Advisors
153
Nisa Investment Advisors
Missouri
$6.96M -$92.2K -1,928 -1%
Aviva
154
Aviva
United Kingdom
$6.89M +$1.32M +27,533 +23%
RJA
155
Raymond James & Associates
Florida
$6.83M +$1.81M +37,815 +35%
Fifth Third Bancorp
156
Fifth Third Bancorp
Ohio
$6.8M +$783K +16,365 +13%
State of Tennessee, Department of Treasury
157
State of Tennessee, Department of Treasury
Tennessee
$6.79M +$6.9M +144,200 New
RCM
158
Riverhead Capital Management
Delaware
$6.75M +$43.1K +900 +0.6%
ASRS
159
Arizona State Retirement System
Arizona
$6.5M +$153K +3,200 +2%
SNC
160
Stifel Nicolaus & Co
Missouri
$6.5M -$391K -8,165 -6%
ADEF
161
Adams Diversified Equity Fund
Maryland
$6.4M +$6.51M +136,100 New
PI
162
Putnam Investments
Massachusetts
$6.15M -$229K -4,793 -4%
WTNA
163
Wilmington Trust National Association
Delaware
$6.01M +$18.2K +381 +0.3%
TU
164
TDAM USA
Ontario, Canada
$6.01M -$990K -20,696 -14%
IRF
165
IBM Retirement Fund
New York
$5.99M -$898K -18,777 -13%
JGUA
166
John G. Ullman & Associates
New York
$5.97M -$120K -2,504 -2%
SOMRS
167
State of Michigan Retirement System
Michigan
$5.95M +$57.4K +1,200 +1%
OI
168
Oakbrook Investments
Illinois
$5.85M -$213K -4,450 -3%
Comerica Bank
169
Comerica Bank
Texas
$5.83M -$31.4K -656 -0.5%
OCM
170
Olstein Capital Management
New York
$5.74M
AG
171
Aperio Group
California
$5.71M +$542K +11,324 +10%
GT
172
Glenmede Trust
Pennsylvania
$5.67M +$1.9M +39,790 +49%
B
173
BP
United Kingdom
$5.64M
Canada Pension Plan Investment Board
174
Canada Pension Plan Investment Board
Ontario, Canada
$5.45M +$639K +13,364 +13%
NTCOC
175
Northern Trust Company of Connecticut
Connecticut
$5.31M +$960K +20,073 +22%