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Advanced Micro Devices

Name Holding Trade Value Shares
Change
Change in
Stake
AIMCA
651
Alberta Investment Management Corp (AIMCo)
Alberta, Canada
$3.85M -$9.69M -89,260 -70%
BWM
652
BNC Wealth Management
Oregon
$3.84M +$122K +1,121 +3%
SVCP
653
Silicon Valley Capital Partners
California
$3.83M +$72.9K +672 +2%
CFLC
654
California First Leasing Corp
California
$3.81M +$651K +6,000 +19%
AAM
655
Advisors Asset Management
Colorado
$3.78M -$385K -3,551 -9%
IPW
656
Invictus Private Wealth
Colorado
$3.76M +$3.97M +36,601 New
PCA
657
Private Capital Advisors
Connecticut
$3.76M +$4.14M +38,166 New
HI
658
Hoey Investments
Pennsylvania
$3.71M -$104K -955 -3%
CWM
659
Concentrum Wealth Management
California
$3.68M +$2.47M +22,770 +175%
AP
660
Americana Partners
Texas
$3.67M +$1.16M +10,669 +44%
XS
661
XR Securities
Illinois
$3.65M +$942K +8,678 +32%
GITFIT
662
Generali Investments Towarzystwo Funduszy Inwestycyjnych (TFI)
Poland
$3.65M -$357K -3,291 -12%
BFM
663
Boothbay Fund Management
New York
$3.63M -$2.41M -22,156 -39%
PL
664
Parkwood LLC
Ohio
$3.6M -$1.54M -14,211 -29%
UA
665
Unison Advisors
District of Columbia
$3.6M
RIM
666
Reliant Investment Management
Tennessee
$3.57M +$3.77M +34,732 New
BCFS
667
Butensky & Cohen Financial Security
Florida
$3.57M +$469K +4,325 +14%
SWM
668
SeaCrest Wealth Management
New York
$3.55M -$227K -2,087 -6%
GT
669
Greenleaf Trust
Michigan
$3.54M +$35.8K +330 +1%
JPWM
670
Jamison Private Wealth Management
Georgia
$3.54M +$3.73M +34,403 New
VI
671
Vestcor Inc
New Brunswick, Canada
$3.53M -$322K -2,970 -8%
DCM
672
Discovery Capital Management
Connecticut
$3.52M +$3.71M +34,219 New
BWFA
673
Baltimore-Washington Financial Advisors
Maryland
$3.51M -$163K -1,505 -4%
VWM
674
Venturi Wealth Management
Texas
$3.5M -$5.1K -47 -0.1%
FAT
675
First American Trust
California
$3.47M +$84.3K +777 +2%