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Name Holding Trade Value Shares
Change
Change in
Stake
DP
576
Dearborn Partners
Illinois
$733K +$69.8K +1,570 +11%
BL
577
Balentine LLC
Georgia
$730K +$531K +11,950 +294%
SFG
578
SevenBridge Financial Group
Pennsylvania
$724K -$13.3K -300 -2%
HPC
579
HM Payson & Co
Maine
$721K -$27.8M -624,928 -98%
WOC
580
West Oak Capital
California
$716K
ARTA
581
A.R.T. Advisors
New York
$715K -$1.42M -31,900 -67%
MMG
582
Monetary Management Group
Missouri
$715K
P
583
Pitcairn
Pennsylvania
$712K -$3.02K -68 -0.4%
MIH
584
Meitav Investment House
Israel
$706K -$618K -13,902 -47%
BCM
585
Bienville Capital Management
New York
$705K +$276K +6,200 +67%
KP
586
Keel Point
Alabama
$699K -$32.2K -725 -5%
CC
587
Courier Capital
New York
$697K
MMPW
588
Mitchell McLeod Pugh & Williams
Alabama
$695K -$53.7K -1,209 -7%
BFM
589
Boston Financial Management
Massachusetts
$692K -$119K -2,672 -15%
KRSITF
590
Kentucky Retirement Systems Insurance Trust Fund
Kentucky
$686K +$24.7K +555 +4%
NA
591
NewEdge Advisors
Louisiana
$685K -$134K -3,006 -17%
DI
592
DAGCO Inc
Ohio
$675K +$659K +14,818 New
CM
593
Columbus Macro
Pennsylvania
$669K -$26.4K -594 -4%
PWLP
594
Prio Wealth Limited Partnership
Massachusetts
$667K
EDRH
595
Edmond de Rothschild Holding
Switzerland
$661K -$240K -5,400 -27%
XS
596
XR Securities
Illinois
$660K +$644K +14,480 New
SHWM
597
Smith & Howard Wealth Management
Georgia
$658K
ATC
598
Argent Trust Co
Tennessee
$656K +$29.8K +670 +5%
WP
599
WMS Partners
Maryland
$654K
TG
600
TCW Group
California
$654K +$639K +14,365 New