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Analog Devices

Name Holding Trade Value Shares
Change
Change in
Stake
SFP
201
Santa Fe Partners
New Mexico
$3.73M +$451K +6,961 +14%
EAM
202
EverPoint Asset Management
Connecticut
$3.69M +$3.73M +57,500 New
FVCM
203
F&V Capital Management
Florida
$3.65M -$157K -2,425 -4%
MOACM
204
Mutual of America Capital Management
New York
$3.62M +$5.51K +85 +0.2%
URS
205
Utah Retirement Systems
Utah
$3.58M -$19.5K -300 -0.5%
DP
206
Dearborn Partners
Illinois
$3.52M
HIM
207
Hermes Investment Management
United Kingdom
$3.51M +$558K +8,600 +19%
CAM
208
Cypress Asset Management
Texas
$3.49M -$31.8K -490 -0.9%
GG
209
Gofen & Glossberg
Illinois
$3.46M -$32.4K -500 -0.9%
Korea Investment Corp
210
Korea Investment Corp
South Korea
$3.4M
SW
211
SVB Wealth
Massachusetts
$3.34M +$2.21K +34 +0.1%
Nomura Asset Management
212
Nomura Asset Management
Japan
$3.2M +$593K +9,147 +22%
PG
213
PEAK6 Group
Illinois
$3.19M +$3.22M +49,624 New
BFS
214
Bradley Foster & Sargent
Connecticut
$3.17M -$555K -8,552 -15%
GH
215
GAM Holding
Switzerland
$3.1M +$1.17M +18,021 +60%
CCM
216
Cadence Capital Management
Massachusetts
$3.06M +$137K +2,116 +5%
BCMO
217
Buckingham Capital Management (Ohio)
Ohio
$2.95M +$256K +3,943 +9%
LNB
218
Ledyard National Bank
$2.89M -$704K -10,859 -19%
TRSOTSOK
219
Teachers Retirement System of the State of Kentucky
Kentucky
$2.82M -$110K -1,700 -4%
BCM
220
Brookmont Capital Management
Texas
$2.75M -$362K -5,581 -12%
PWM
221
Perigon Wealth Management
California
$2.75M
ST
222
Spot Trading
Illinois
$2.75M +$1.15M +17,775 +71%
First Manhattan
223
First Manhattan
New York
$2.69M -$83.9K -1,293 -3%
M
224
MOTCO
Texas
$2.66M +$268K +4,140 +11%
JGUA
225
John G. Ullman & Associates
New York
$2.65M -$182K -2,800 -6%