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Advanced Micro Devices

Name Holding Trade Value Shares
Change
Change in
Stake
CM
426
Capula Management
Cayman Islands
$6.09M +$1.85M +27,997 +42%
SWK
427
Stephen W. Kidder
$6.06M +$79.9K +1,211 +1%
VAS
428
Valicenti Advisory Services
New York
$6.04M -$326K -4,943 -5%
OPCM
429
Osborne Partners Capital Management
California
$5.99M +$6.1M +92,477 New
SAM
430
Shell Asset Management
Netherlands
$5.98M -$1.1M -16,641 -15%
JAM
431
JCIC Asset Management
Ontario, Canada
$5.93M -$271K -4,100 -4%
MLICM
432
Metropolitan Life Insurance Company (MetLife)
New York
$5.91M -$97.9K -1,483 -2%
KHLMVGHM
433
Kranot Hishtalmut Le Morim Ve Gananot Havera Menahelet
Israel
$5.88M
PIMJS
434
PKO Investment Management Joint-Stock
Poland
$5.83M -$2.64M -40,000 -31%
BG
435
Bahl & Gaynor
Ohio
$5.67M +$2.71K +41 +0%
MJP
436
Michael J. Puzo
$5.65M +$79.4K +1,203 +1%
IUHSA
437
Itau Unibanco Holding S.A.
Brazil
$5.64M +$5.75M +87,113 New
PAG
438
Private Advisory Group
Washington
$5.55M +$465K +7,047 +9%
SRFM
439
Shannon River Fund Management
New York
$5.49M +$5.59M +84,700 New
BF
440
BOK Financial
Oklahoma
$5.41M -$50.7K -768 -0.9%
BMM
441
Buffington Mohr McNeal
Idaho
$5.4M -$78.9K -1,196 -1%
Vanguard Personalized Indexing Management
442
Vanguard Personalized Indexing Management
California
$5.39M -$952K -14,430 -15%
CC
443
Capital Counsel
New York
$5.36M
PI
444
Parkside Investments
Illinois
$5.36M +$924K +14,000 +20%
SICM
445
Sustainable Insight Capital Management
New York
$5.31M +$297K +4,500 +6%
CG
446
Cutler Group
California
$5.26M +$1.28M +19,353 +31%
TRCT
447
Tower Research Capital (TRC)
New York
$5.22M -$32.1M -486,480 -86%
Wolverine Trading
448
Wolverine Trading
Illinois
$5.18M +$4.55M +68,979 +623%
BCMO
449
Buckingham Capital Management (Ohio)
Ohio
$5.15M +$1.09M +16,486 +26%
TPM
450
Totem Point Management
New York
$5.08M +$5.18M +78,444 New