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Advanced Micro Devices

Name Holding Trade Value Shares
Change
Change in
Stake
FFA
576
Farther Finance Advisors
California
$8.37M +$4.48M +27,731 +116%
SWP
577
Stratos Wealth Partners
Ohio
$8.35M -$739K -4,582 -8%
RAM
578
Robocap Asset Management
United Kingdom
$8.34M -$2.85M -17,678 -26%
CTC
579
Central Trust Company
Missouri
$8.33M +$213K +1,318 +3%
WSCM
580
Wellington Shields Capital Management
New York
$8.32M -$113K -700 -1%
PI
581
PFG Investments
New York
$8.22M -$514K -3,184 -6%
CWP
582
Capital Wealth Planning
Florida
$8.16M +$5.48M +33,939 +206%
SI
583
Stephens Inc
Arkansas
$8.16M +$2.54M +15,726 +45%
SIM
584
Seaview Investment Managers
Florida
$8.14M -$7.38M -45,716 -48%
BIG
585
Boothe Investment Group
Delaware
$8.12M -$4.9M -30,341 -38%
ACMH
586
Andar Capital Management (HK)
Hong Kong
$8.09M -$6.94M -43,000 -46%
JWCA
587
J.W. Cole Advisors
Florida
$8.01M -$13.1K -81 -0.2%
FCH
588
Freestone Capital Holdings
Washington
$7.98M +$770K +4,771 +11%
TS
589
Triglav Skladi
Slovenia
$7.96M +$3.87M +24,000 +95%
PAM
590
Panagora Asset Management
Massachusetts
$7.92M +$758K +4,699 +11%
VAS
591
Vestmark Advisory Solutions
Massachusetts
$7.9M -$4.46M -27,635 -36%
FCM
592
Fortis Capital Management
Washington
$7.85M +$6.02M +37,319 +334%
GFA
593
Gifford Fong Associates
California
$7.82M
OFS
594
OMC Financial Services
New York
$7.81M -$62K -384 -0.8%
BKA
595
Brick & Kyle Associates
Pennsylvania
$7.76M
SAM
596
SP Asset Management
California
$7.69M +$74.2K +460 +1%
CDDEC
597
Caisse Des Depots Et Consignations
France
$7.63M -$1.31M -8,146 -15%
SPC
598
Sigma Planning Corp
Michigan
$7.54M +$1.11M +6,881 +17%
EDRH
599
Edmond de Rothschild Holding
Switzerland
$7.52M -$273K -1,690 -4%
PA
600
Pinnacle Associates
New York
$7.49M +$349K +2,162 +5%