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Advanced Micro Devices

Name Holding Trade Value Shares
Change
Change in
Stake
PP
376
Paloma Partners
Connecticut
$308K +$38.9K +1,799 +12%
ACM
377
AlphaCrest Capital Management
New York
$308K +$361K +16,700 New
CI
378
Conning Inc
Connecticut
$306K +$25.5K +1,180 +8%
AIL
379
AGF Investments LLC
Ontario, Canada
$301K +$329K +15,230 +1,444%
AA
380
ALPS Advisors
Colorado
$284K +$92.5K +4,280 +39%
EMG
381
Ellington Management Group
Connecticut
$281K -$197K -9,100 -37%
AP
382
Advisor Partners
California
$281K +$59.2K +2,738 +22%
BAM
383
Bruderman Asset Management
New York
$281K +$328K +15,175 +50,583%
SP
384
Successful Portfolios
Florida
$280K
CC
385
ClearArc Capital
Ohio
$279K -$154K -7,100 -32%
DCM
386
Dupont Capital Management
Delaware
$279K +$145K +6,711 +80%
IRF
387
IBM Retirement Fund
New York
$278K -$13.8K -637 -4%
CCG
388
Ceeto Capital Group
Florida
$277K
AC
389
Allstate Corporation
Illinois
$277K +$325K +15,031 New
TAM
390
Tiverton Asset Management
Delaware
$276K +$30.1K +1,390 +10%
IFWM
391
Institute for Wealth Management
Colorado
$276K +$324K +14,998 New
ACM
392
Aviance Capital Management
Florida
$268K +$314K +14,518 New
ZCA
393
Zeke Capital Advisors
Pennsylvania
$266K -$57K -2,636 -15%
II
394
Inspire Investing
Idaho
$264K +$45K +2,082 +17%
Verition Fund Management
395
Verition Fund Management
Connecticut
$264K +$309K +14,300 New
PCM
396
Perkins Capital Management
Minnesota
$263K -$8.65K -400 -3%
WIS
397
Wright Investors Service
Connecticut
$263K +$307K +14,221 New
TSS
398
Two Sigma Securities
New York
$263K +$309K +14,271 New
FQ
399
First Quadrant
California
$261K
CIM
400
Contravisory Investment Management
Massachusetts
$261K +$306K +14,159 New