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Advanced Micro Devices

Name Holding Trade Value Shares
Change
Change in
Stake
BJL
626
Brighton Jones LLC
Washington
$6.97M +$311K +1,927 +5%
AAMU
627
APG Asset Management US
New York
$6.94M
SCM
628
Sterling Capital Management
North Carolina
$6.91M -$977K -6,055 -12%
DADC
629
D.A. Davidson & Co
Montana
$6.91M -$97K -601 -1%
SF
630
Synovus Financial
Georgia
$6.9M +$308K +1,910 +5%
BEI
631
Benjamin Edwards Inc
Missouri
$6.89M +$1.48M +9,180 +27%
LP
632
LMR Partners
United Kingdom
$6.88M -$18M -111,411 -72%
KRSITF
633
Kentucky Retirement Systems Insurance Trust Fund
Kentucky
$6.86M -$228K -1,413 -3%
VVP
634
Venture Visionary Partners
Ohio
$6.82M +$2.36M +14,617 +53%
RIL
635
Rothschild Investment LLC
Illinois
$6.81M +$220K +1,366 +3%
MFG
636
Midwest Financial Group
Kansas
$6.8M +$49.4K +306 +0.7%
GF
637
Gabelli Funds
New York
$6.79M -$16.1K -100 -0.2%
PI
638
Parkside Investments
Illinois
$6.78M -$270K -1,670 -4%
GIM
639
Glenmede Investment Management
Pennsylvania
$6.71M +$593K +3,677 +10%
CF
640
Centaurus Financial
California
$6.66M +$731K +4,531 +12%
KLCM
641
KG&L Capital Management
Louisiana
$6.64M +$895K +5,544 +16%
HAG
642
HighPoint Advisor Group
Illinois
$6.54M +$186K +1,150 +3%
CCM
643
Coldstream Capital Management
Washington
$6.51M +$434K +2,691 +7%
AMG
644
Advisors Management Group
Wisconsin
$6.51M -$81.5K -505 -1%
CIC
645
Carnegie Investment Counsel
Ohio
$6.45M -$874K -5,416 -12%
WAM
646
Werlinich Asset Management
Connecticut
$6.44M
PAS
647
Park Avenue Securities
New York
$6.44M -$1.76M -10,918 -22%
PIA
648
Petredis Investment Advisors
Pennsylvania
$6.42M -$25.8K -160 -0.4%
FNT
649
First National Trust
Pennsylvania
$6.41M +$68.4K +424 +1%
MADR
650
Milestones Administradora de Recursos
Brazil
$6.39M +$2.85M +17,660 +81%