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Advanced Micro Devices

Name Holding Trade Value Shares
Change
Change in
Stake
PBF
1926
Petix & Botte Financial
California
$393K
CCM
1927
Charter Capital Management
Wisconsin
$393K +$62.9K +390 +19%
WWP
1928
Wise Wealth Partners
Arizona
$391K
MF
1929
Manchester Financial
California
$389K +$9.84K +61 +3%
CS
1930
Cannell & Spears
New York
$386K +$385K +2,387 New
AB
1931
Atlas Brown
Kentucky
$386K +$5.97K +37 +2%
PWG
1932
Portside Wealth Group
Utah
$386K +$36.5K +226 +10%
AI
1933
Accredited Investors
Minnesota
$384K +$383K +2,375 New
FH
1934
FWG Holdings
Florida
$384K +$16.6K +103 +8%
COCM
1935
Charter Oak Capital Management
New Hampshire
$383K +$55.8K +346 +17%
RWA
1936
Redhawk Wealth Advisors
Minnesota
$383K +$382K +2,369 New
SN
1937
Sittner & Nelson
Oregon
$383K -$3.87K -24 -1%
TPW
1938
Transatlantique Private Wealth
New York
$381K +$380K +2,356 New
HPM
1939
Hoxton Planning & Management
West Virginia
$381K -$9.2K -57 -2%
SAM
1940
Synergy Asset Management
Washington
$381K +$129K +801 +52%
SLC
1941
Second Line Capital
Louisiana
$380K -$2.9M -17,997 -88%
MWM
1942
MorganRosel Wealth Management
Colorado
$380K
HFAS
1943
Hummer Financial Advisory Services
Illinois
$380K
IG
1944
IFS Group
Pennsylvania
$380K +$374K +2,318 New
IPW
1945
Impact Partnership Wealth
Georgia
$380K +$122K +756 +48%
SI
1946
Seeds Investor
New York
$379K +$19.8K +123 +6%
RFA
1947
Resurgent Financial Advisors
Georgia
$378K +$646 +4 +0.2%
RWM
1948
RMG Wealth Management
Wisconsin
$378K +$10.8K +67 +4%
FG
1949
Foster Group
Iowa
$377K -$1.29K -8 -0.3%
FF
1950
Francis Financial
$377K +$221K +1,371 New