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Autodesk

Name Holding Trade Value Shares
Change
Change in
Stake
PSP
651
Principal Street Partners
Tennessee
$693K +$8.09K +36 +1%
AIA
652
Angeles Investment Advisors
California
$691K +$125K +556 +25%
SC
653
Savant Capital
Illinois
$690K -$15.1K -67 -2%
BFEC
654
Benjamin F. Edwards & Company
Missouri
$689K -$616K -2,743 -50%
AIM
655
Alhambra Investment Management
Florida
$675K -$185K -823 -23%
PL
656
Perpetual Ltd
Australia
$673K +$611K +2,721 New
FIA
657
Foundations Investment Advisors
Arizona
$670K -$156K -694 -20%
BHB
658
Bank Hapoalim BM
Israel
$669K -$53.9K -240 -8%
1832 Asset Management
659
1832 Asset Management
Ontario, Canada
$669K +$154K +687 +34%
JWCA
660
J.W. Coons Advisors
Ohio
$666K -$31.9K -142 -5%
CPBTD
661
Central Pacific Bank - Trust Division
Hawaii
$666K -$10.3K -46 -2%
CCG
662
Cypress Capital Group
Florida
$665K -$48.3K -215 -7%
PFGIA
663
Patriot Financial Group Insurance Agency
Massachusetts
$660K +$77.3K +344 +15%
TWC
664
TD Waterhouse Canada
Ontario, Canada
$658K -$128K -570 -18%
JIC
665
Joel Isaacson & Co
New York
$657K +$26.7K +119 +5%
IA
666
IFP Advisors
Florida
$652K -$548K -2,439 -48%
MWM
667
Moran Wealth Management
Florida
$652K +$251K +1,119 +74%
TCPW
668
Twin City Private Wealth
North Carolina
$650K +$10.8K +48 +2%
NP
669
NorthRock Partners
Minnesota
$649K +$83.1K +370 +16%
VT
670
Vise Technologies
New York
$648K -$142K -630 -19%
PWM
671
Perigon Wealth Management
California
$648K +$155K +688 +36%
FAM
672
Fred Alger Management
New York
$646K -$128K -572 -18%
BCM
673
Brookstone Capital Management
Illinois
$633K +$257K +1,142 +82%
WS
674
Wedbush Securities
California
$628K -$167K -742 -23%
Group One Trading
675
Group One Trading
Illinois
$626K +$92.1K +410 +19%