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Advanced Micro Devices

Name Holding Trade Value Shares
Change
Change in
Stake
BRG
501
Bay Rivers Group
Virginia
$878K +$885K +16,694 New
BA
502
Birinyi Associates
Connecticut
$873K +$318K +6,000 +57%
RCIM
503
Red Cedar Investment Management
Michigan
$872K +$879K +16,582 New
Renaissance Technologies
504
Renaissance Technologies
New York
$867K -$210M -3,951,752 -100%
WA
505
Winfield Associates
Ohio
$854K +$25.2K +475 +3%
SA
506
Strategic Advisors
New York
$849K +$398K +7,503 +120%
V
507
Veritable
Delaware
$848K -$57.6K -1,086 -6%
CI
508
Conning Inc
Connecticut
$845K +$14.9K +281 +2%
TSS
509
Two Sigma Securities
New York
$845K +$318K +5,990 +59%
CWM
510
Cordatus Wealth Management
Pennsylvania
$844K +$19.6K +370 +2%
MYAM
511
Meiji Yasuda Asset Management
Japan
$843K +$498K +9,400 +142%
CCMT
512
CMT Capital Markets Trading
Germany
$842K +$212K +4,000 +33%
FI
513
FormulaFolio Investments
Michigan
$838K +$165K +3,120 +24%
Fiera Capital (Canada)
514
Fiera Capital (Canada)
Quebec, Canada
$826K -$758K -14,293 -48%
AG
515
Algert Global
California
$820K -$196K -3,703 -19%
GPFA
516
Game Plan Financial Advisors
Ohio
$820K -$6.1K -115 -0.7%
AWM
517
Avitas Wealth Management
California
$812K -$16.6K -314 -2%
NA
518
Navellier & Associates
Nevada
$810K -$833K -15,705 -51%
LC
519
Lindbrook Capital
California
$807K -$6.36K -120 -0.8%
SACTSONJ
520
Supplemental Annuity Collective Trust (SACT) of New Jersey
New Jersey
$789K
VFM
521
Viking Fund Management
North Dakota
$789K
CC
522
Centiva Capital
New York
$789K +$795K +14,993 New
QI
523
QS Investors
New York
$787K +$41.1K +775 +5%
Franklin Resources
524
Franklin Resources
California
$787K +$68.9K +1,300 +11%
HAG
525
HighPoint Advisor Group
Illinois
$778K +$23.1K +436 +3%