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Autodesk

Name Holding Trade Value Shares
Change
Change in
Stake
SSWM
351
Smith Salley Wealth Management
North Carolina
$348K -$23.1K -366 -7%
CC
352
ClearArc Capital
Ohio
$346K -$43.5K -691 -13%
NIT
353
NumerixS Investment Technologies
British Columbia, Canada
$340K +$296K +4,700 New
W
354
Wealthfront
California
$337K +$294K +4,662 New
ECM
355
Everence Capital Management
Indiana
$335K – – –
CWA
356
Cypress Wealth Advisors
California
$333K +$3.02K +48 +1%
BAS
357
Brown Advisory Securities
Maryland
$330K -$126 -2 -0%
Federated Hermes
358
Federated Hermes
Pennsylvania
$324K -$45.3K -719 -14%
GA
359
Geneva Advisors
Illinois
$319K -$3.46K -55 -1%
ASN
360
Advisory Services Network
Georgia
$314K +$248K +3,933 +976%
CTC
361
Central Trust Company
Missouri
$313K -$25.2K -400 -8%
CWM
362
CIBC World Markets
New York
$311K -$683K -10,837 -72%
HC
363
Hourglass Capital
Texas
$311K – – –
DILH
364
Dai-ichi Life Holdings
Japan
$310K +$270K +4,284 New
MSR
365
Main Street Research
Connecticut
$308K – – –
PI
366
Putnam Investments
Massachusetts
$304K -$49.3K -782 -16%
OA
367
Oak Associates
Ohio
$304K – – –
Bank of Nova Scotia
368
Bank of Nova Scotia
Ontario, Canada
$298K -$22.7K -360 -8%
Creative Planning
369
Creative Planning
Kansas
$295K +$61.7K +979 +32%
IR
370
Invictus RG
Bermuda
$290K +$253K +4,010 New
DLCIG
371
D.L. Carlson Investment Group
New Hampshire
$289K – – –
AP
372
Advisor Partners
California
$285K +$248K +3,938 New
TCOV
373
Trust Company of Vermont
Vermont
$282K +$221K +3,500 +875%
RCM
374
Riverhead Capital Management
Delaware
$279K -$334K -5,296 -58%
DMC
375
Drexel Morgan & Co
Pennsylvania
$278K – – –