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Advanced Micro Devices

Name Holding Trade Value Shares
Change
Change in
Stake
HFG
1351
Heron Financial Group
New York
$347K +$12.2K +150 +4%
CBTWT
1352
Community Bank & Trust (Waco, Texas)
Texas
$344K +$286K +3,511 New
BIP
1353
Blueprint Investment Partners
North Carolina
$344K +$286K +3,509 New
LWM
1354
LJI Wealth Management
Indiana
$344K +$2.52K +31 +0.9%
VFPI
1355
Vantage Financial Partners (Illinois)
Illinois
$343K +$16.3K +200 +6%
PWP
1356
Principle Wealth Partners
Connecticut
$342K -$4.56K -56 -2%
DWM
1357
Drive Wealth Management
Utah
$342K +$284K +3,489 New
PWMG
1358
Provence Wealth Management Group
California
$342K +$284K +3,487 New
HG
1359
Harbor Group
New Hampshire
$342K +$28.8K +354 +11%
FSA
1360
Fort Sheridan Advisors
Illinois
$341K
CA
1361
Calton & Associates
Florida
$341K -$144K -1,771 -34%
CCM
1362
Chiron Capital Management
Florida
$340K -$97.7K -1,200 -26%
RWA
1363
Ropes Wealth Advisors
Massachusetts
$339K +$1.71K +21 +0.6%
MIA
1364
MMBG Investment Advisors
Florida
$339K
LMKC
1365
L.M. Kohn & Company
Ohio
$338K +$281K +3,451 New
HFM
1366
Hartford Funds Management
Pennsylvania
$338K +$281K +3,448 New
FRM
1367
Fox Run Management
Connecticut
$338K +$281K +3,448 New
AG
1368
Appleton Group
Wisconsin
$338K -$41K -504 -13%
ACM
1369
Alamar Capital Management
California
$338K
KP
1370
Keel Point
Alabama
$336K +$279K +3,433 New
AC
1371
Addison Capital
Pennsylvania
$336K -$81.4K -1,000 -23%
TCA
1372
Transcend Capital Advisors
New Jersey
$336K +$12.3K +151 +5%
WP
1373
Westmount Partners
California
$335K +$3.09K +38 +1%
ACM
1374
Aljian Capital Management
Nevada
$335K -$34.6K -425 -11%
QCM
1375
Qsemble Capital Management
New York
$333K +$277K +3,400 New