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Advanced Micro Devices

Name Holding Trade Value Shares
Change
Change in
Stake
OA
676
Oxbow Advisors
Texas
$1.32M +$107K +1,044 +9%
PAM
677
Paradigm Asset Management
New York
$1.32M -$81.8K -800 -6%
ACM
678
Alpha Capital Management
Texas
$1.32M +$49.8K +487 +4%
S
679
SignatureFD
Georgia
$1.31M +$103K +1,006 +9%
PA
680
Parallel Advisors
California
$1.31M +$233K +2,282 +22%
BRG
681
Bay Rivers Group
Virginia
$1.3M -$752K -7,360 -37%
WAS
682
WESPAC Advisors SoCal
California
$1.29M +$42.9K +420 +3%
EHWM
683
Eads & Heald Wealth Management
Georgia
$1.29M -$92.3K -903 -7%
CCG
684
Ceeto Capital Group
Florida
$1.29M
HSA
685
HBK Sorce Advisory
Pennsylvania
$1.28M -$58.5K -572 -4%
SWP
686
Strategic Wealth Partners
Ohio
$1.28M -$6.03K -59 -0.5%
CI
687
Conning Inc
Connecticut
$1.28M -$94.1K -921 -7%
JGC
688
J. Goldman & Co
New York
$1.28M +$1.27M +12,406 New
KCM
689
Knoll Capital Management
Florida
$1.27M
CIA
690
Capital Investment Advisors
Georgia
$1.26M -$6.75K -66 -0.5%
CK
691
Cohen Klingenstein
New York
$1.25M +$1.24M +12,100 New
GSWM
692
Golden State Wealth Management
California
$1.23M -$22.8K -223 -2%
AAM
693
Azzad Asset Management
Virginia
$1.2M -$6.13K -60 -0.5%
TAM
694
Trust Asset Management
Texas
$1.2M +$80.7K +789 +7%
CT
695
Chicago Trust
Illinois
$1.19M +$99.9K +977 +9%
CCG
696
Capital CS Group
California
$1.19M +$704K +6,883 +145%
FSA
697
Fort Sheridan Advisors
Illinois
$1.18M -$218K -2,136 -16%
PFO
698
Pathstone Family Office
New Jersey
$1.18M +$576K +5,630 +97%
DLCIG
699
D.L. Carlson Investment Group
New Hampshire
$1.18M -$20.4K -200 -2%
DT
700
Diversified Trust
Tennessee
$1.17M