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Astera Labs

Name Holding Trade Value Shares
Change
Change in
Stake
GI
301
GAMMA Investing
California
$47.4K +$26.3K +284 +56%
SIS
302
Sound Income Strategies
Florida
$47.3K +$18.9K +204 +35%
PA
303
Parallel Advisors
California
$41.4K -$4.16K -45 -6%
MTIM
304
Marathon Trading Investment Management
Pennsylvania
$40.9K +$63.5K +686 New
AAP
305
Arax Advisory Partners
Colorado
$38.4K +$55.8K +603 +1,508%
FDCDDQ
306
Federation des caisses Desjardins du Quebec
Quebec, Canada
$37.6K +$31.9K +345 +121%
CCM
307
Coldstream Capital Management
Washington
$37.5K +$58.2K +629 New
CA
308
Clearstead Advisors
Ohio
$32.9K +$18.7K +202 +58%
TRCT
309
Tower Research Capital (TRC)
New York
$24.5K -$284K -3,066 -88%
VCM
310
Versant Capital Management
Arizona
$24.3K +$37.6K +407 New
S
311
SignatureFD
Georgia
$23.9K +$9.25K +100 +33%
QL
312
Quarry LP
New York
$21.9K -$89.3K -965 -72%
WA
313
Whipplewood Advisors
Colorado
$20.5K +$11K +119 +24%
BIG
314
Brooklyn Investment Group
New York
$19.8K +$15.2K +164 +98%
TCA
315
Trifecta Capital Advisors
Illinois
$19.6K
MMCM
316
Murphy & Mullick Capital Management
New York
$19.4K
NSIM
317
North Star Investment Management
Illinois
$17.9K +$2.77K +30 +11%
HCM
318
Hollencrest Capital Management
California
$16.9K -$80.1K -866 -75%
AAM
319
Advisors Asset Management
Colorado
$16.9K +$26.2K +283 New
WA
320
WPG Advisers
Maryland
$16.6K +$16.7K +180 +182%
AG
321
AmeriFlex Group
Nevada
$15.6K -$76.2K -824 -76%
Mirae Asset Global ETFs Holdings
322
Mirae Asset Global ETFs Holdings
Hong Kong
$15.2K -$1.05M -11,397 -98%
NA
323
NewEdge Advisors
Louisiana
$15K -$20.7K -224 -47%
IWM
324
Inlight Wealth Management
Georgia
$14.9K +$23.1K +250 New
LC
325
Lindbrook Capital
California
$13.4K +$8.14K +88 +64%