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Advanced Micro Devices

Name Holding Trade Value Shares
Change
Change in
Stake
ECM
676
Everence Capital Management
Indiana
$3.47M -$7.6K -70 -0.2%
FMI
677
Factory Mutual Insurance
Massachusetts
$3.45M +$3.64M +33,568 New
QCM
678
Quantinno Capital Management
New York
$3.44M -$174K -1,603 -5%
PWM
679
Perigon Wealth Management
California
$3.42M +$394K +3,632 +12%
GGHC
680
Gilder Gagnon Howe & Co
New York
$3.41M -$24.5K -226 -0.7%
MCM
681
Moore Capital Management
New York
$3.38M -$4.72M -43,490 -57%
SCM
682
Saba Capital Management
New York
$3.37M +$323K +2,975 +10%
TCOT
683
Trust Company of Toledo
Ohio
$3.36M -$85.6K -789 -2%
ABP
684
Arthur B. Page
$3.35M -$129K -1,188 -4%
LAM
685
Lynch Asset Management
Pennsylvania
$3.33M +$54.3K +500 +2%
SMH
686
Sanders Morris Harris
Texas
$3.33M +$151K +1,387 +4%
VF
687
Virtu Financial
New York
$3.31M -$6.45M -59,409 -65%
CMTU
688
Capital Markets Trading (UK)
United Kingdom
$3.27M +$3.46M +31,850 New
VA
689
Vident Advisory
Georgia
$3.27M +$3.46M +31,841 New
CG
690
Colony Group
Massachusetts
$3.27M +$92.3K +850 +3%
LJHT
691
Laurie J. Hall Trustee
$3.26M -$515K -4,744 -13%
RWA
692
River Wealth Advisors
Pennsylvania
$3.25M +$408K +3,757 +13%
LCC
693
Lincoln Capital Corp
Rhode Island
$3.23M +$51.1K +471 +2%
ACM
694
Alpha Capital Management
Texas
$3.22M -$568K -5,228 -14%
DRD
695
Dennis R. Delaney
$3.2M +$184K +1,695 +6%
OQS
696
Occudo Quantitative Strategies
Florida
$3.2M -$47.7K -439 -1%
OCAM
697
Onex Canada Asset Management
Ontario, Canada
$3.19M -$488K -4,498 -13%
LC
698
Longitude (Cayman)
Cayman Islands
$3.19M +$434K +4,000 +15%
RCM
699
Ratan Capital Management
Florida
$3.19M +$3.37M +31,000 New
CPIG
700
Chicago Partners Investment Group
Illinois
$3.18M +$162K +1,490 +5%