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Advanced Micro Devices

Name Holding Trade Value Shares
Change
Change in
Stake
TPM
676
Totem Point Management
New York
$8.59M +$9.02M +42,236 New
MFG
677
Midwest Financial Group
Kansas
$8.57M -$35.2K -165 -0.4%
VT
678
Vise Technologies
New York
$8.53M
KA
679
Kintegral Advisory
New York
$8.49M -$395K -1,850 -4%
TI
680
TTP Investments
California
$8.44M -$105K -491 -1%
HCM
681
Howard Capital Management
Georgia
$8.4M -$8.98M -42,041 -50%
CG
682
Caprock Group
Idaho
$8.4M +$89.7K +420 +1%
RIL
683
Rothschild Investment LLC
Illinois
$8.35M -$86K -403 -1%
SAM
684
Sawgrass Asset Management
Florida
$8.24M -$261K -1,223 -3%
DRD
685
Dennis R. Delaney
$8.23M +$3.26M +15,251 +61%
WI
686
Wahed Invest
New York
$8.22M -$427K -2,000 -5%
SMTF
687
Sphera Management Technology Funds
Israel
$8.17M +$32K +150 +0.4%
EIA
688
Emerald Investment Advisers
Pennsylvania
$8.16M +$8.57M +40,124 New
WA
689
Watchtower Advisors
Connecticut
$8.14M -$4.27M -20,000 -33%
ACM
690
Alight Capital Management
New York
$8.14M +$8.54M +40,000 New
CIP
691
Convergence Investment Partners
Florida
$8.12M +$8.16M +38,220 +2,268%
FNT
692
First National Trust
Pennsylvania
$8.1M +$22.2K +104 +0.3%
GCM
693
Genus Capital Management
British Columbia, Canada
$8.08M +$1.91M +8,950 +29%
SPC
694
Sigma Planning Corp
Michigan
$8.07M -$913K -4,277 -10%
WAM
695
Werlinich Asset Management
Connecticut
$8.07M -$14.9K -70 -0.2%
SLG
696
Stanley-Laman Group
Pennsylvania
$8.02M +$261K +1,223 +3%
PA
697
Parallel Advisors
California
$8.01M +$964K +4,516 +13%
CA
698
Crewe Advisors
Utah
$8.01M +$55.3K +259 +0.7%
JCM
699
Jag Capital Management
Missouri
$8M -$9.81M -45,938 -54%
BFG
700
Bleakley Financial Group
New Jersey
$7.92M +$564K +2,643 +7%