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Advanced Micro Devices

Name Holding Trade Value Shares
Change
Change in
Stake
TNA
876
True North Advisors
Texas
$559K +$409 +4 +0.1%
FFA
877
Founders Financial Alliance
North Carolina
$553K -$2.66K -26 -0.5%
PP
878
Pacifica Partners
Canada
$553K
WA
879
WP Advisors
California
$552K
CA
880
Continuum Advisory
Idaho
$552K +$125K +1,221 +29%
KPW
881
Kore Private Wealth
New York
$551K +$47.1K +461 +9%
SAM
882
Silvercrest Asset Management
New York
$549K -$30.2K -295 -5%
1WA
883
180 Wealth Advisors
Washington
$545K -$3.07K -30 -0.6%
CCA
884
Cadent Capital Advisors
Oklahoma
$545K
AWM
885
AllSquare Wealth Management
New York
$544K -$174K -1,700 -24%
JHCP
886
Jackson Hole Capital Partners
Oklahoma
$543K +$5.11K +50 +1%
SCM
887
Stonebridge Capital Management
California
$540K
SP
888
Symmetry Partners
Connecticut
$539K
BAM
889
Beaumont Asset Management
Texas
$538K +$15.1K +148 +3%
AFAS
890
Acorn Financial Advisory Services
Virginia
$537K -$3.17K -31 -0.6%
WPW
891
Waldron Private Wealth
Pennsylvania
$536K +$6.03K +59 +1%
NCM
892
Novare Capital Management
North Carolina
$535K +$7.16K +70 +1%
SSB
893
Sandy Spring Bank
Maryland
$535K +$17.2K +168 +3%
CC
894
Cypress Capital
Tennessee
$535K +$532K +5,200 New
MP
895
McDonald Partners
Ohio
$534K -$108K -1,055 -17%
ECG
896
Edge Capital Group
Georgia
$530K +$30.7K +300 +6%
TCOT
897
Trust Company of Toledo
Ohio
$529K +$525K +5,138 New
VAG
898
VisionPoint Advisory Group
Texas
$528K -$1.94K -19 -0.5%
QCG
899
Quadrant Capital Group
Ohio
$527K +$33.4K +327 +7%
SSWM
900
Sheets Smith Wealth Management
North Carolina
$527K +$523K +5,118 New