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Adaptive Biotechnologies

Name Holding Trade Value Shares
Change
Change in
Stake
WSFS
201
Wilmington Savings Fund Society
Delaware
$16.9K
BIG
202
Brooklyn Investment Group
New York
$14.1K -$13.7K -1,511 -56%
AF
203
Allworth Financial
California
$14K +$945 +104 +9%
CIAM
204
Caitong International Asset Management
Hong Kong
$12.9K +$10K +1,106 New
NS
205
NBC Securities
Alabama
$11K +$8.95K +985 New
VCM
206
Versant Capital Management
Arizona
$10.5K +$5.17K +569 +171%
Group One Trading
207
Group One Trading
Illinois
$10.3K +$8.06K +887 New
Optiver Holding
208
Optiver Holding
Netherlands
$9.98K +$4.82K +531 +163%
GA
209
GoalVest Advisory
New York
$9.67K
PTC
210
Private Trust Company
Ohio
$9.19K +$7.17K +789 New
PB
211
Pinnacle Bancorp
Nebraska
$8.99K
EWA
212
EverSource Wealth Advisors
Alabama
$8.83K +$3.11K +342 +82%
PA
213
Parallel Advisors
California
$8.14K +$2.13K +234 +50%
SAM
214
Smartleaf Asset Management
Massachusetts
$6.7K -$363 -40 -7%
EP
215
Essential Partners
California
$6.69K +$5.21K +574 New
Daiwa Securities Group
216
Daiwa Securities Group
Japan
$6K
FNWA
217
Financial Network Wealth Advisors
Utah
$5.88K
SCM
218
Sterling Capital Management
North Carolina
$4.21K -$14.9K -1,637 -82%
ADL
219
Asset Dedication LLC
California
$4.08K -$8K -881 -72%
SS
220
SBI Securities
Japan
$3.33K
TWD
221
True Wealth Design
Ohio
$2.81K -$27 -3 -1%
PWA
222
Physician Wealth Advisors
Utah
$2.75K +$1.93K +212 +883%
AssetMark Inc
223
AssetMark Inc
California
$2.34K +$1.83K +201 New
BLC
224
Brown, Lisle/Cummings
Rhode Island
$2.33K
PWMG
225
Private Wealth Management Group
New Jersey
$1.95K