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Advanced Micro Devices

Name Holding Trade Value Shares
Change
Change in
Stake
MAM
1026
Milestone Asset Management
Pennsylvania
$2.06M -$992K -6,146 -33%
PCG
1027
PFC Capital Group
California
$2.05M +$16.8K +104 +0.8%
FAM
1028
Fulcrum Asset Management
United Kingdom
$2.05M -$56.8K -352 -3%
KA
1029
KLCM Advisors
Wisconsin
$2.04M
ES
1030
Element Squared
Minnesota
$2.04M +$2.03M +12,583 New
EAM
1031
Evanson Asset Management
California
$2.03M +$13.2K +82 +0.7%
BAM
1032
Byrne Asset Management
New Jersey
$2.02M -$198K -1,228 -9%
MYLI
1033
Meiji Yasuda Life Insurance
Japan
$2.02M +$176K +1,089 +10%
MIG
1034
Mariner Investment Group
New York
$2.02M +$2.02M +12,500 New
HHAM
1035
HITE Hedge Asset Management
Massachusetts
$2.02M -$107K -662 -5%
SB
1036
Strategic Blueprint
Georgia
$2.02M +$390K +2,415 +24%
FFS
1037
Founders Financial Securities
Maryland
$2.02M +$2.58K +16 +0.1%
XWM
1038
Xcel Wealth Management
Florida
$2.02M +$124K +766 +7%
NEI
1039
Northwest & Ethical Investments
Ontario, Canada
$2.02M +$1.51M +9,364 +302%
RFL
1040
RD Finance Ltd
Cyprus
$2.01M -$2.51M -15,550 -56%
WPC
1041
White Pine Capital
Minnesota
$2M +$739K +4,581 +59%
CCM
1042
Crestwood Capital Management
New York
$1.99M -$2.42M -15,000 -55%
AFT
1043
Alpha Family Trust
California
$1.99M
BCWM
1044
Bartlett & Co Wealth Management
Ohio
$1.99M +$36.5K +226 +2%
QCM
1045
Qsemble Capital Management
New York
$1.99M +$1.99M +12,306 New
NAS
1046
Nicolet Advisory Services
Wisconsin
$1.99M +$75.7K +469 +5%
RH
1047
RFG Holdings
Texas
$1.99M +$385K +2,385 +24%
GH
1048
GAM Holding
Switzerland
$1.99M +$1.98M +12,286 New
BHA
1049
Beech Hill Advisors
New York
$1.98M
CAG
1050
Csenge Advisory Group
Florida
$1.98M +$200K +1,241 +11%