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Advanced Micro Devices

Name Holding Trade Value Shares
Change
Change in
Stake
H
126
Hexavest
Quebec, Canada
$378K
BA
127
BlackRock Advisors
Delaware
$374K +$9.06K +2,373 +3%
SAM
128
Securian Asset Management
Minnesota
$357K +$714 +187 +0.2%
COPPSERS
129
Commonwealth of Pennsylvania Public School Employees Retirement System
Pennsylvania
$346K -$580 -152 -0.2%
SB
130
Suntrust Banks
Georgia
$332K -$1.32K -345 -0.4%
PNC Financial Services Group
131
PNC Financial Services Group
Pennsylvania
$330K -$3.29K -861 -1%
Royal Bank of Canada
132
Royal Bank of Canada
Ontario, Canada
$328K -$740K -194,015 -70%
B
133
Barings
North Carolina
$323K
ACI
134
AMP Capital Investors
Australia
$298K
BCMU
135
BlueCrest Capital Management (UK)
Guernsey
$297K +$283K +74,073 New
CEP
136
Chicago Equity Partners
Illinois
$294K +$280K +73,350 New
Creative Planning
137
Creative Planning
Kansas
$290K +$204K +53,403 +282%
AB
138
Amalgamated Bank
New York
$286K -$565 -148 -0.2%
WA
139
WFG Advisors
Texas
$284K +$53.7K +14,071 +25%
SCA
140
SAC Capital Advisors
Connecticut
$269K -$17.6K -4,600 -6%
SCM
141
Shelton Capital Management
Colorado
$269K
HI
142
Horizon Investments
North Carolina
$252K +$240K +62,763 New
FFS
143
Founders Financial Securities
Maryland
$250K +$238K +62,251 New
WAM
144
World Asset Management
Michigan
$242K -$534 -140 -0.2%
AMI
145
Amica Mutual Insurance
Rhode Island
$237K
MAA
146
Managed Account Advisors
New Jersey
$236K +$5.5K +1,440 +3%
ID
147
Integral Derivatives
New York
$233K +$144K +37,700 +184%
JHIU
148
Janus Henderson Investors US
Colorado
$231K -$1.95M -511,100 -90%
CAM
149
Capstone Asset Management
Texas
$227K +$2.79K +730 +1%
BlackRock
150
BlackRock
New York
$214K -$204K -53,347 -50%