We are live on ! Find out more
ADI icon

Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
CP
2001
CenterBook Partners
Connecticut
-$1.91M -7,776 Closed
BC
2002
Bridgefront Capital
Texas
-$1.89M -7,712 Closed
IFU
2003
iSAM Funds (UK)
United Kingdom
-$1.81M -7,380 Closed
OQS
2004
Occudo Quantitative Strategies
Florida
-$1.33M -5,412 Closed
LAM
2005
LECAP Asset Management
United Kingdom
-$1.32M -5,363 Closed
AA
2006
ABC Arbitrage
France
-$1.22M -4,961 Closed
BCM
2007
Bayesian Capital Management
New York
-$1.15M -4,700 Closed
TC
2008
TwinBeech Capital
New York
-$1.01M -4,095 Closed
MP
2009
Mangrove Partners
Connecticut
-$883K -3,593 Closed
DTL
2010
Dynamic Technology Lab
Singapore
-$789K -3,210 Closed
BJL
2011
Brighton Jones LLC
Washington
-$769K -3,131 Closed
CWM
2012
Compass Wealth Management
Connecticut
-$758K -3,085 Closed
CM
2013
Capula Management
Cayman Islands
-$772K -3,071 Closed
PFT
2014
Providence First Trust
Arizona
-$744K -3,030 Closed
VI
2015
Versor Investments
New York
-$713K -2,900 Closed
BWCS
2016
Beirne Wealth Consulting Services
Connecticut
-$606K -2,465 Closed
LSA
2017
Lansing Street Advisors
Pennsylvania
-$598K -2,435 Closed
SP
2018
SIH Partners
Delaware
-$574K -2,338 Closed
P
2019
Pitcairn
Pennsylvania
-$559K -2,274 Closed
MM
2020
MQS Management
New York
-$536K -2,180 Closed
OAM
2021
Oxford Asset Management
United Kingdom
-$532K -2,164 Closed
ECM
2022
Element Capital Management
New York
-$502K -2,043 Closed
MP
2023
McDonald Partners
Ohio
-$496K -2,018 Closed
AI
2024
AdvisorShares Investments
Maryland
-$491K -2,000 Closed
SB
2025
SIG Brokerage
New York
-$500K -1,991 Closed