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Advanced Micro Devices

Name Holding Trade Value Shares
Change
Change in
Stake
CC
726
Centiva Capital
New York
$2.93M +$3.03M +27,919 +4,872%
Empower Advisory Group
727
Empower Advisory Group
Colorado
$2.92M +$1.41K +13 +0%
HZ
728
Hixon Zuercher
Ohio
$2.92M +$32.8K +302 +1%
AGAM
729
Audent Global Asset Management
California
$2.92M -$179K -1,645 -5%
CA
730
Capital Advantage
California
$2.91M +$5.97K +55 +0.2%
CCM
731
Coldstream Capital Management
Washington
$2.9M -$180K -1,654 -6%
AFS
732
AFG Fiduciary Services
Massachusetts
$2.89M +$47.1K +434 +2%
AF
733
Allworth Financial
California
$2.89M -$641K -5,901 -17%
JC
734
JB Capital
Connecticut
$2.87M +$3.03M +27,935 New
AAM
735
Alphadyne Asset Management
New York
$2.87M +$2.75M +25,376 +994%
SFS
736
Stiles Financial Services
Minnesota
$2.85M -$134K -1,233 -4%
GCS
737
Gordian Capital (Singapore)
Singapore
$2.85M +$1.66M +15,295 +124%
HI
738
Harbour Investments
Wisconsin
$2.84M -$269K -2,475 -8%
PCM
739
Parsons Capital Management
Rhode Island
$2.84M -$41.6K -383 -1%
Brown Advisory
740
Brown Advisory
Maryland
$2.83M +$556K +5,123 +23%
MCC
741
Malaga Cove Capital
California
$2.82M +$109K +1,006 +4%
MMA
742
Miracle Mile Advisors
California
$2.78M -$36.9K -340 -1%
AWM
743
Avitas Wealth Management
California
$2.77M +$545K +5,017 +23%
CSPIA
744
Cary Street Partners Investment Advisory
Virginia
$2.77M +$1.98M +18,261 +211%
DGAM
745
Desjardins Global Asset Management
Quebec, Canada
$2.75M +$1.21M +11,164 +72%
CM
746
Capula Management
Cayman Islands
$2.73M +$1.3M +11,954 +82%
SM
747
STF Management
Texas
$2.72M +$1.76M +16,182 +157%
CG
748
Cutler Group
California
$2.71M +$1.98M +18,278 +226%
AFG
749
Atomi Financial Group
New York
$2.71M +$2.41M +22,161 +527%
MCP
750
Mirador Capital Partners
California
$2.7M +$2.32M +21,383 +435%