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Advanced Micro Devices

Name Holding Trade Value Shares
Change
Change in
Stake
Canada Life
126
Canada Life
Manitoba, Canada
$166K
EMG
127
ETF Managers Group
New Jersey
$158K +$24.7K +10,880 New
Credit Agricole
128
Credit Agricole
France
$149K -$98.1K -43,166 -45%
PAM
129
Panagora Asset Management
Massachusetts
$146K
SRAM
130
Stone Ridge Asset Management
New York
$134K
CAM
131
Capstone Asset Management
Texas
$133K +$23 +10 +0%
RJA
132
Raymond James & Associates
Florida
$129K +$103K +45,132 New
Creative Planning
133
Creative Planning
Kansas
$127K -$248K -109,219 -71%
Nomura Holdings
134
Nomura Holdings
Japan
$122K -$2.47M -1,085,623 -96%
LPL Financial
135
LPL Financial
California
$118K -$15.5K -6,800 -14%
PBT
136
Pictet Bank & Trust
Bahamas
$116K
BOH
137
Bank of Hawaii
Hawaii
$111K -$441K -194,205 -83%
TSS
138
Two Sigma Securities
New York
$108K +$86.1K +37,875 New
HI
139
HBK Investments
Texas
$99K +$79.1K +34,800 New
Simplex Trading
140
Simplex Trading
Illinois
$98K +$78.3K +34,437 New
Millennium Management
141
Millennium Management
New York
$93K -$34.9K -15,335 -32%
WAM
142
World Asset Management
Michigan
$90K +$3.34K +1,470 +5%
DDC
143
Daniel Devine & Co
Florida
$88K
CICI
144
Capital Investment Counsel Inc
North Carolina
$83K
LP
145
LMR Partners
United Kingdom
$81K -$9.97K -4,386 -13%
William Blair & Company
146
William Blair & Company
Illinois
$81K -$568 -250 -0.9%
Nomura Asset Management
147
Nomura Asset Management
Japan
$75K +$33.2K +14,600 +127%
CIBC Asset Management
148
CIBC Asset Management
Ontario, Canada
$74K +$3.74K +1,644 +7%
Commonwealth Equity Services
149
Commonwealth Equity Services
Massachusetts
$71K -$80 -35 -0.1%
CC
150
Courier Capital
New York
$71K