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Advanced Micro Devices

Name Holding Trade Value Shares
Change
Change in
Stake
SG
576
Sienna Gestion
France
$7.12M +$595K +5,463 +11%
ACM
577
Alight Capital Management
New York
$7.09M +$2.18M +20,000 +67%
SSG
578
Summit Securities Group
New York
$7.09M +$5.44M +50,000 New
VIG
579
Vienna Insurance Group
Poland
$7.07M
JWCA
580
J.W. Cole Advisors
Florida
$7.04M +$519K +4,766 +11%
ACM
581
Ariose Capital Management
Hong Kong
$7.02M +$5.39M +49,500 New
SCM
582
Sterling Capital Management
North Carolina
$6.92M +$593K +5,446 +13%
OFS
583
OMC Financial Services
New York
$6.9M +$181K +1,665 +4%
GFA
584
Gifford Fong Associates
California
$6.86M
EDRH
585
Edmond de Rothschild Holding
Switzerland
$6.84M +$83.4K +766 +2%
JGC
586
J. Goldman & Co
New York
$6.76M +$1.92M +17,644 +59%
AS
587
Aware Super
Australia
$6.75M +$491K +4,509 +10%
TFA
588
Teamwork Financial Advisors
Texas
$6.72M -$779K -7,153 -13%
SAM
589
SP Asset Management
California
$6.68M -$2.18K -20 -0%
CCMG
590
Clark Capital Management Group
Pennsylvania
$6.64M +$592K +5,436 +13%
OTL
591
Oak Thistle LLC
New York
$6.6M +$4.41M +40,507 +672%
BKA
592
Brick & Kyle Associates
Pennsylvania
$6.55M -$69.1K -635 -1%
AWS
593
Atria Wealth Solutions
New York
$6.52M -$7.84M -72,052 -61%
PP
594
Patten & Patten
Tennessee
$6.49M -$859K -7,889 -15%
CWP
595
CFM Wealth Partners
Texas
$6.43M -$417K -3,831 -8%
CIC
596
Carnegie Investment Counsel
Ohio
$6.43M +$160K +1,473 +3%
IFS
597
Integrated Financial Solutions
Virginia
$6.4M +$4.91M +45,118 New
KA
598
Kintegral Advisory
New York
$6.38M -$7.4K -68 -0.2%
Two Sigma Investments
599
Two Sigma Investments
New York
$6.38M -$240M -2,202,024 -98%
FCH
600
Freestone Capital Holdings
Washington
$6.32M +$752K +6,903 +18%