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Advanced Micro Devices

Name Holding Trade Value Shares
Change
Change in
Stake
CTC
601
Central Trust Company
Missouri
$10.8M -$230K -1,022 -2%
ACMH
602
Andar Capital Management (HK)
Hong Kong
$10.6M -$81.3K -362 -0.7%
VAS
603
Vestmark Advisory Solutions
Massachusetts
$10.6M +$107K +478 +1%
SWA
604
SFMG Wealth Advisors
Texas
$10.5M -$2.35M -10,448 -18%
CAM
605
Cresset Asset Management
Illinois
$10.5M -$2.4M -10,695 -18%
FCH
606
Freestone Capital Holdings
Washington
$10.4M -$159K -706 -1%
BBA
607
Baader Bank Aktiengesellschaft
Germany
$10.4M -$3.63M -16,141 -25%
GF
608
Gabelli Funds
New York
$10.3M +$1.41M +6,262 +15%
Walleye Capital
609
Walleye Capital
New York
$10.2M -$44.9M -199,702 -81%
VVP
610
Venture Visionary Partners
Ohio
$10.2M +$1.16M +5,165 +12%
BKA
611
Brick & Kyle Associates
Pennsylvania
$10.2M -$73K -325 -0.7%
CDDEC
612
Caisse Des Depots Et Consignations
France
$10.1M
PCM
613
Polymer Capital Management
New York
$10M +$9.56M +42,583 +984%
SI
614
Stephens Inc
Arkansas
$10M -$872K -3,883 -8%
AC
615
Armistice Capital
New York
$10M +$10.5M +46,703 New
BCM
616
Benchstone Capital Management
New York
$10M +$10.5M +46,681 New
EI
617
EFG International
$9.98M +$10.5M +46,604 New
OFS
618
OMC Financial Services
New York
$9.98M -$379K -1,687 -3%
JPWM
619
Jamison Private Wealth Management
Georgia
$9.9M +$50.8K +226 +0.5%
CPCPP
620
Canada Post Corporation Pension Plan
Canada
$9.72M +$1.52M +6,770 +18%
CWP
621
CFM Wealth Partners
Texas
$9.66M -$22.5K -100 -0.2%
PA
622
Pinnacle Associates
New York
$9.65M -$280K -1,246 -3%
XSC
623
X-Square Capital
Puerto Rico
$9.64M -$3.88M -17,259 -28%
DADC
624
D.A. Davidson & Co
Montana
$9.64M +$519K +2,312 +5%
SPG
625
Strategic Planning Group
Utah
$9.6M -$119K -531 -1%