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Advanced Micro Devices

Name Holding Trade Value Shares
Change
Change in
Stake
ACM
576
Ascendant Capital Management
California
$2.06M -$869K -8,500 -30%
IIM
577
InTrack Investment Management
Vermont
$2.06M -$636K -6,226 -28%
CAIMH
578
Central Asset Investments & Management Holdings
Hong Kong
$2.05M -$1.95M -19,100 -49%
MWM
579
Midwest Wealth Management
Indiana
$2.05M +$30.6K +299 +2%
CCP
580
Cassia Capital Partners
North Carolina
$2.05M +$2.03M +19,892 New
PA
581
Pinnacle Associates
New York
$2.04M +$1.94K +19 +0.1%
HCP
582
Hexagon Capital Partners
Arkansas
$2.02M +$10.3K +101 +0.5%
XF
583
XML Financial
Maryland
$2.02M +$2.01M +19,645 New
GAM
584
Gotham Asset Management
New York
$2.02M +$1.11M +10,844 +124%
EL
585
Essex LLC
Illinois
$2.02M +$2M +19,584 New
Bank Julius Baer & Co
586
Bank Julius Baer & Co
Switzerland
$2.01M -$348K -3,403 -15%
SMH
587
Sanders Morris Harris
Texas
$2M +$58.3K +570 +3%
FTDI
588
First Trust Direct Indexing
Massachusetts
$2M +$107K +1,050 +6%
IAN
589
Integrated Advisors Network
Texas
$2M +$870K +8,514 +78%
AG
590
Algert Global
California
$1.98M -$143K -1,397 -7%
ARC
591
Advisor Resource Council
Texas
$1.98M -$2.44M -23,879 -55%
SMFG
592
Sumitomo Mitsui Financial Group
Japan
$1.94M +$405K +3,962 +26%
HAG
593
HighPoint Advisor Group
Illinois
$1.94M +$123K +1,207 +7%
XSC
594
X-Square Capital
Puerto Rico
$1.92M +$143K +1,402 +8%
DWM
595
Darwin Wealth Management
Florida
$1.91M -$199K -1,943 -9%
AI
596
AdvisorShares Investments
Maryland
$1.89M +$1.87M +18,332 New
AI
597
Atom Investors
Texas
$1.89M +$81.4K +796 +5%
SI
598
Stephens Inc
Arkansas
$1.88M -$1.36M -13,275 -42%
GT
599
Greenleaf Trust
Michigan
$1.88M +$303K +2,967 +19%
AA
600
Altman Advisors
Illinois
$1.87M -$6.95K -68 -0.4%