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Advanced Micro Devices

Name Holding Trade Value Shares
Change
Change in
Stake
ABP
651
Arthur B. Page
$3.85M -$520K -4,998 -13%
TCOT
652
Trust Company of Toledo
Ohio
$3.81M -$691K -6,645 -17%
GGHC
653
Gilder Gagnon Howe & Co
New York
$3.81M +$3.48M +33,417 New
PAS
654
Park Avenue Securities
New York
$3.81M +$872K +8,385 +34%
BCM
655
Bridgeway Capital Management
Texas
$3.77M -$2.96M -28,500 -46%
FAT
656
First American Trust
California
$3.75M +$3.43M +32,956 New
TCM
657
Teza Capital Management
Illinois
$3.75M +$2.81M +27,015 +455%
Parallax Volatility Advisers
658
Parallax Volatility Advisers
California
$3.74M +$3.39M +32,621 +13,369%
BFG
659
Bleakley Financial Group
New Jersey
$3.71M +$185K +1,778 +6%
LAM
660
Lynch Asset Management
Pennsylvania
$3.63M
SI
661
Stephens Inc
Arkansas
$3.62M +$967K +9,297 +41%
AAMU
662
AEGON Asset Management (UK)
United Kingdom
$3.6M -$301K -2,898 -8%
IFWM
663
Institute for Wealth Management
Colorado
$3.6M -$28.7K -276 -0.9%
CA
664
Cetera Advisors
Colorado
$3.6M +$545K +5,241 +20%
OQS
665
Occudo Quantitative Strategies
Florida
$3.6M +$2.72M +26,129 +479%
AWM
666
Apollon Wealth Management
South Carolina
$3.6M +$396K +3,803 +14%
Verition Fund Management
667
Verition Fund Management
Connecticut
$3.58M -$2.23M -21,481 -41%
LFAS
668
Level Four Advisory Services
Texas
$3.57M +$1.48M +14,247 +83%
SMH
669
Sanders Morris Harris
Texas
$3.57M +$2.76M +26,514 +600%
CFLC
670
California First Leasing Corp
California
$3.54M
LCC
671
Lincoln Capital Corp
Rhode Island
$3.53M +$56.5K +543 +2%
DAM
672
Doheny Asset Management
California
$3.53M -$10.4K -100 -0.3%
CG
673
Colony Group
Massachusetts
$3.52M -$12.9K -124 -0.4%
DA
674
DCF Advisers
Connecticut
$3.47M +$52K +500 +2%
BCFS
675
Butensky & Cohen Financial Security
Florida
$3.46M +$193K +1,857 +7%