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Advanced Micro Devices

Name Holding Trade Value Shares
Change
Change in
Stake
BA
126
BlackRock Advisors
Delaware
$251K
PNC Financial Services Group
127
PNC Financial Services Group
Pennsylvania
$248K +$7.3K +2,659 +3%
AIP
128
Ameritas Investment Partners
Nebraska
$246K
HSBC Holdings
129
HSBC Holdings
United Kingdom
$242K -$3.35K -1,221 -1%
SAM
130
Securian Asset Management
Minnesota
$234K -$275 -100 -0.1%
BOH
131
Bank of Hawaii
Hawaii
$226K +$173K +62,840 +287%
WS
132
Wedbush Securities
California
$202K -$413K -150,550 -67%
UBS Group
133
UBS Group
Switzerland
$196K +$201K +73,248 New
AB
134
Amalgamated Bank
New York
$187K +$310 +113 +0.2%
SCM
135
Shelton Capital Management
Colorado
$179K
CAM
136
Capstone Asset Management
Texas
$171K +$57.3K +20,870 +48%
Canada Life
137
Canada Life
Manitoba, Canada
$161K
AMI
138
Amica Mutual Insurance
Rhode Island
$158K
MSU
139
Mizuho Securities USA
New York
$155K
IAMOG
140
Investors Asset Management of Georgia
Georgia
$147K +$151K +55,100 New
PAM
141
Panagora Asset Management
Massachusetts
$146K -$1.65K -600 -1%
WAM
142
World Asset Management
Michigan
$140K -$21.7K -7,910 -13%
FWM
143
Frontier Wealth Management
Missouri
$137K +$141K +51,486 New
Thrivent Financial for Lutherans
144
Thrivent Financial for Lutherans
Minnesota
$130K -$549 -200 -0.4%
NV
145
Nair Vinay
$125K +$128K +46,665 New
SRAM
146
Stone Ridge Asset Management
New York
$125K +$129K +46,969 New
PHK
147
Point72 Hong Kong
Hong Kong
$124K +$6.3K +2,293 +5%
TC
148
TradeLink Capital
Illinois
$119K +$122K +44,500 New
ID
149
Integral Derivatives
New York
$118K -$184K -67,062 -60%
PBT
150
Pictet Bank & Trust
Bahamas
$108K