We are live on ! Find out more
AMD icon

Advanced Micro Devices

Name Holding Trade Value Shares
Change
Change in
Stake
CG
701
Caprock Group
Idaho
$3.12M +$326K +2,931 +11%
SI
702
Stephens Inc
Arkansas
$3.1M +$304K +2,733 +10%
AAIM
703
American Assets Investment Management
California
$3.08M
ACM
704
Alight Capital Management
New York
$3.08M +$3.34M +30,000 New
JGC
705
J. Goldman & Co
New York
$3.08M +$3.33M +29,980 New
JSP
706
Jackson Square Partners
California
$3.07M -$124K -1,118 -4%
AWM
707
Adams Wealth Management
Utah
$3.06M +$693K +6,231 +26%
CI
708
CacheTech Inc
Utah
$3.06M +$693K +6,231 +26%
SAM
709
Stenahm Asset Management
Guernsey
$3.05M +$3.3M +29,665 New
SIC
710
SFE Investment Counsel
California
$3.03M +$801K +7,203 +32%
MYAM
711
Meiji Yasuda Asset Management
Japan
$3.01M -$131K -1,181 -4%
DWM
712
Diversify Wealth Management
Utah
$3.01M +$383K +3,445 +12%
GT
713
Glenview Trust
Kentucky
$3M +$114K +1,023 +4%
BP
714
Ballentine Partners
Massachusetts
$3M -$188K -1,688 -5%
Brown Advisory
715
Brown Advisory
Maryland
$2.99M +$336K +3,024 +12%
IBOK
716
Independence Bank of Kentucky
Kentucky
$2.99M +$170K +1,532 +6%
VAS
717
Vestmark Advisory Solutions
Massachusetts
$2.99M +$498K +4,482 +18%
NP
718
NorthRock Partners
Minnesota
$2.98M +$309K +2,775 +11%
MMA
719
Miracle Mile Advisors
California
$2.98M -$136K -1,221 -4%
BFG
720
Bleakley Financial Group
New Jersey
$2.95M +$321K +2,887 +11%
MSA
721
MUFG Securities Americas
New York
$2.95M +$526K +4,729 +20%
APTFM
722
AGUR Provident & Training Funds Management
Israel
$2.93M
S
723
SignatureFD
Georgia
$2.93M +$33.4K +300 +1%
EMB
724
Elefante Mark B
$2.93M +$598K +5,375 +23%
AA
725
Altrafin AG
$2.93M +$200K +1,800 +7%