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Advanced Micro Devices

Name Holding Trade Value Shares
Change
Change in
Stake
PTC
1151
Private Trust Company
Ohio
$365K +$11.4K +172 +3%
CPA
1152
Cardiff Park Advisors
California
$363K -$528 -8 -0.1%
PA
1153
PFG Advisors
Arizona
$362K +$3.83K +58 +1%
CA
1154
Claro Advisors
Massachusetts
$362K +$146K +2,212 +66%
MA
1155
MONECO Advisors
Connecticut
$361K -$57.1K -865 -13%
EP
1156
Eudaimonia Partners
Tennessee
$359K +$7.92K +120 +2%
AMC
1157
Asset Management Corp
Illinois
$357K -$26.6K -403 -7%
AA
1158
Ancora Advisors
Ohio
$357K -$11.5K -174 -3%
CS
1159
Comerica Securities
Michigan
$357K -$50.6K -767 -12%
MCP
1160
Mirador Capital Partners
California
$356K -$8.78K -133 -2%
PNC
1161
Park National Corp
Ohio
$356K -$6.6K -100 -2%
LWM
1162
Laidlaw Wealth Management
New York
$353K -$42.2K -639 -10%
GC
1163
Gilbert & Cook
Iowa
$352K +$1.32K +20 +0.4%
LBWM
1164
Left Brain Wealth Management
Illinois
$351K +$357K +5,412 New
RSVP
1165
Ramsay Stattman Vela & Price
Colorado
$350K
TNA
1166
True North Advisors
Texas
$348K -$36.2K -548 -9%
AWP
1167
Abacus Wealth Partners
California
$347K -$64.3K -974 -15%
WEG
1168
World Equity Group
Illinois
$347K +$1.12K +17 +0.3%
KF
1169
Krilogy Financial
Missouri
$347K -$45K -681 -11%
AFP
1170
Ausdal Financial Partners
Iowa
$345K +$31.9K +484 +10%
GBT
1171
Grove Bank & Trust
Florida
$345K +$7.39K +112 +2%
MCM
1172
Marathon Capital Management
Maryland
$342K -$165K -2,500 -32%
CA
1173
Continuum Advisory
Idaho
$341K -$5.48K -83 -2%
PP
1174
Pacifica Partners
Canada
$341K +$55.7K +844 +19%
CFGS
1175
Concourse Financial Group Securities
Alabama
$341K +$347K +5,258 New