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Advanced Micro Devices

Name Holding Trade Value Shares
Change
Change in
Stake
Walleye Capital
1301
Walleye Capital
New York
-$432K -5,275 Closed
STA
1302
Summit Trail Advisors
New York
-$418K -5,109 Closed
TC
1303
Telemus Capital
Michigan
-$416K -5,000 Closed
CAM
1304
Concorde Asset Management
Michigan
-$394K -4,807 Closed
LOAMS
1305
Lombard Odier Asset Management (Switzerland)
Switzerland
-$388K -4,735 Closed
MWM
1306
Mattern Wealth Management
Kansas
-$378K -4,609 Closed
PAMG
1307
Patton Albertson Miller Group
Tennessee
-$361K -4,400 Closed
PG
1308
Prostatis Group
Maryland
-$345K -4,202 Closed
BWA
1309
Beam Wealth Advisors
Louisiana
-$343K -4,184 Closed
NVCHI
1310
New Vernon Capital Holdings II
New Jersey
-$335K -4,091 Closed
RIM
1311
Rampart Investment Management
Connecticut
-$323K -3,937 Closed
XF
1312
XML Financial
Maryland
-$309K -3,770 Closed
SIM
1313
SSI Investment Management
California
-$298K -3,651 Closed
CG
1314
Colony Group
Massachusetts
-$287K -3,504 Closed
RJT
1315
Raymond James Trust
Florida
-$287K -3,502 Closed
AG
1316
AlphaSimPlex Group
Massachusetts
-$286K -3,493 Closed
DS
1317
DRW Securities
Illinois
-$283K -3,447 Closed
RPC
1318
Rossmore Private Capital
Connecticut
-$264K -3,220 Closed
B
1319
Bailard
California
-$252K -3,079 Closed
TCM
1320
Teza Capital Management
Illinois
-$251K -3,067 Closed
WA
1321
Wealth Alliance
New York
-$224K -2,727 Closed
EFS
1322
Essex Financial Services
Connecticut
-$220K -2,682 Closed
HCM
1323
HM Capital Management
Missouri
-$219K -2,671 Closed
GIA
1324
GHP Investment Advisors
Colorado
-$210K -2,567 Closed
JSC
1325
Jackson Square Capital
California
-$182K -2,215 Closed