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Advanced Micro Devices

Name Holding Trade Value Shares
Change
Change in
Stake
Twin Tree Management
626
Twin Tree Management
Texas
$9.58M +$10M +44,727 New
SPC
627
Sigma Planning Corp
Michigan
$9.57M -$606K -2,697 -6%
PI
628
PFG Investments
New York
$9.55M -$1.39M -6,186 -12%
MADR
629
Milestones Administradora de Recursos
Brazil
$9.5M +$1.09M +4,850 +12%
SAM
630
Securian Asset Management
Minnesota
$9.48M -$7.66M -34,104 -44%
KIA
631
Knollwood Investment Advisory
Maryland
$9.4M +$11.5K +51 +0.1%
MSA
632
MUFG Securities Americas
New York
$9.39M +$22K +98 +0.2%
AWM
633
Axxcess Wealth Management
California
$9.37M +$3.02M +13,464 +44%
NGA
634
Naples Global Advisors
Florida
$9.34M -$191K -850 -2%
KA
635
Kintegral Advisory
New York
$9.33M -$268K -1,192 -3%
DAC
636
Dutch Asset Corp
New York
$9.31M +$9.76M +43,460 New
CWM
637
Concentrum Wealth Management
California
$9.3M -$27K -120 -0.3%
JWM
638
Jessup Wealth Management
Ohio
$9.29M -$8.68M -38,666 -47%
SAM
639
SP Asset Management
California
$9.27M -$947K -4,217 -9%
CF
640
Centaurus Financial
California
$9.21M +$414K +1,843 +4%
PAS
641
Park Avenue Securities
New York
$9.2M +$712K +3,169 +8%
SIM
642
Seaview Investment Managers
Florida
$9.18M -$1.67M -7,447 -15%
Parallax Volatility Advisers
643
Parallax Volatility Advisers
California
$9.17M -$14M -62,433 -59%
GT
644
Glenmede Trust
Pennsylvania
$9.14M +$9.58M +42,664 New
BIG
645
Brooklyn Investment Group
New York
$9.12M +$5.56M +24,755 +141%
WI
646
Wahed Invest
New York
$9.08M -$372K -1,655 -4%
KRSITF
647
Kentucky Retirement Systems Insurance Trust Fund
Kentucky
$9.08M
EDRH
648
Edmond de Rothschild Holding
Switzerland
$9.06M -$941K -4,190 -9%
MFG
649
Midwest Financial Group
Kansas
$9.06M +$62.9K +280 +0.7%
TI
650
TTP Investments
California
$8.99M -$266K -1,183 -3%