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Advanced Micro Devices

Name Holding Trade Value Shares
Change
Change in
Stake
US Bancorp
326
US Bancorp
Minnesota
$6.36M -$7.04M -81,792 -50%
CIP
327
Chartwell Investment Partners
Pennsylvania
$6.35M -$660K -7,662 -9%
LAM
328
LifePro Asset Management
California
$6.34M +$706K +8,198 +11%
FDCDDQ
329
Federation des caisses Desjardins du Quebec
Quebec, Canada
$6.34M +$4.51M +52,408 +185%
IG
330
ING Group
Netherlands
$6.33M +$123K +1,430 +2%
PM
331
Precept Management
Texas
$6.28M -$1.72M -20,000 -20%
GFA
332
Gifford Fong Associates
California
$6.25M
SAM
333
Shell Asset Management
Netherlands
$6.19M -$861K -10,004 -11%
CA
334
Cornerstone Advisors
North Carolina
$6.12M +$2.24M +26,000 +50%
OC
335
Oppenheimer & Co
New York
$6.04M -$325K -3,773 -5%
NMERB
336
New Mexico Educational Retirement Board
New Mexico
$5.96M
KRS
337
Kentucky Retirement Systems
Kentucky
$5.92M +$381K +4,421 +6%
TMAM
338
Tokio Marine Asset Management
Japan
$5.84M +$5.71M +66,363 +829%
M&T Bank
339
M&T Bank
New York
$5.81M -$424K -4,928 -6%
AB
340
Amalgamated Bank
New York
$5.75M -$289K -3,358 -4%
PI
341
Parkside Investments
Illinois
$5.7M +$691K +8,025 +12%
VC
342
Vestor Capital
Illinois
$5.7M -$8.71M -101,147 -58%
MNBTD
343
Moody National Bank Trust Division
Texas
$5.68M -$344 -4 -0%
LC
344
Longitude (Cayman)
Cayman Islands
$5.65M +$3.19M +37,000 +106%
BIAS
345
Beacon Investment Advisory Services
New Jersey
$5.56M +$2.86M +33,248 +88%
QT
346
Quantbot Technologies
New York
$5.54M +$6.08M +70,617 New
CB
347
Commerce Bank
Missouri
$5.48M +$981K +11,395 +20%
CG
348
Cutler Group
California
$5.43M +$3.49M +40,587 +142%
BRWA
349
B. Riley Wealth Advisors
Florida
$5.38M +$1.35M +15,733 +30%
Rockefeller Capital Management
350
Rockefeller Capital Management
New York
$5.36M +$2.29M +26,635 +64%