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Advanced Micro Devices

Name Holding Trade Value Shares
Change
Change in
Stake
HH
1076
HWG Holdings
Texas
$79K -$7.3M -84,791 -99%
WOC
1077
West Oak Capital
California
$79K -$17.2K -200 -17%
OCM
1078
Orion Capital Management
California
$79K
FFA
1079
Freedman Financial Associates
Massachusetts
$78K
AIM
1080
Anchor Investment Management
South Carolina
$76.9K +$84.3K +979 New
ZB
1081
Zions Bancorporation
Utah
$75K -$16.4K -191 -17%
WT
1082
Washington Trust
Rhode Island
$75K +$29.4K +342 +56%
TFO
1083
Tarbox Family Office
California
$73K -$861 -10 -1%
WP
1084
WealthShield Partners
North Carolina
$73K +$80.4K +934 New
TFS
1085
TrustCore Financial Services
Tennessee
$71K -$4.74K -55 -6%
TCOV
1086
Trust Company of Vermont
Vermont
$71K
EFSCE
1087
Enterprise Financial Services Corp (EFSC)
Missouri
$68K +$5.86K +68 +9%
FMII
1088
Farmers & Merchants Investments Inc
Nebraska
$65K
CFO
1089
CVA Family Office
Colorado
$65K +$71K +825 New
IFAM
1090
Institutional & Family Asset Management
Colorado
$60K +$45.7K +531 +225%
HFA
1091
Hoover Financial Advisors
Pennsylvania
$59K -$4.56K -53 -6%
SIM
1092
Sonora Investment Management
Arizona
$58K +$11.5K +133 +22%
SLF
1093
Sun Life Financial
Ontario, Canada
$57K +$1.55K +18 +3%
CCA
1094
Catalyst Capital Advisors
New York
$56K -$11.2K -130 -15%
HWA
1095
HHM Wealth Advisors
Tennessee
$51K
HFS
1096
HBC Financial Services
Washington
$49.1K +$32.3K +375 +150%
HWM
1097
HighMark Wealth Management
Minnesota
$49K
AF
1098
Allworth Financial
California
$49K +$11.6K +135 +27%
GEA
1099
Glen Eagle Advisors
New Jersey
$48.9K +$28.2K +327 +110%
VBCG
1100
Valley Brook Capital Group
Pennsylvania
$48K +$53.4K +620 New