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Autodesk

Name Holding Trade Value Shares
Change
Change in
Stake
VC
1076
Vestor Capital
Illinois
$240K +$42.7M +141,023 +17,367%
AA
1077
Alta Advisers
United Kingdom
$239K -$60.5K -200 -20%
NL
1078
NWAM LLC
Washington
$238K -$47.2K -156 -15%
MPI
1079
Mairs & Power Inc
Minnesota
$237K
NFA
1080
Northwest Financial Advisors
Virginia
$237K
MO
1081
McMillan Office
Michigan
$237K +$242K +800 New
TSW
1082
Three Seasons Wealth
Utah
$237K
RIL
1083
Rothschild Investment LLC
Illinois
$236K +$148K +488 +157%
SS
1084
SBI Securities
Japan
$235K +$303 +1 +0.1%
MF
1085
Manuka Financial
Virginia
$235K -$85.9K -284 -26%
SFG
1086
Synergy Financial Group
California
$233K -$40.5K -134 -15%
KWM
1087
KW Wealth Management
California
$233K +$9.98K +33 +4%
DE
1088
Diversified Enterprises
Delaware
$231K +$2.72K +9 +1%
3IP
1089
3Chopt Investment Partners
Virginia
$231K +$10.3K +34 +5%
CAG
1090
Cypress Advisory Group
Arizona
$229K
WA
1091
Waddell & Associates
Tennessee
$229K
EWA
1092
Exencial Wealth Advisors
Oklahoma
$229K +$26K +86 +12%
EH
1093
Equitable Holdings
New York
$228K +$1.81K +6 +0.8%
NRC
1094
New Republic Capital
North Carolina
$226K +$231K +764 New
CAM
1095
Claret Asset Management
Quebec, Canada
$226K +$2.12K +7 +0.9%
CTC
1096
Central Trust Company
Missouri
$225K +$13.3K +44 +6%
KAS
1097
KPP Advisory Services
Kentucky
$225K
WT
1098
Whittier Trust
California
$224K -$7.56K -25 -3%
M1FG
1099
Mach-1 Financial Group
Arkansas
$224K +$229K +757 New
DF
1100
Dunhill Financial
United Kingdom
$223K +$50.5K +167 +22%