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Air Products & Chemicals

Name Holding Trade Value Shares
Change
Change in
Stake
SC
501
Scotia Capital
Ontario, Canada
$512K +$27K +268 +6%
WRM
502
Westport Resources Management
Connecticut
$505K -$1.61K -16 -0.3%
DIA
503
Dean Investment Associates
Ohio
$496K +$31.8K +315 +7%
AIP
504
Ameritas Investment Partners
Nebraska
$495K
FBT
505
First Bankers Trust
Kentucky
$492K +$5.44K +54 +1%
WA
506
Winfield Associates
Ohio
$490K +$478K +4,743 New
EIM
507
Emerson Investment Management
Massachusetts
$480K +$15.3K +152 +3%
BIC
508
Bridges Investment Counsel
Nebraska
$478K
III
509
Independent Investors Inc
New York
$475K
MCM
510
Maple Capital Management
Vermont
$475K +$223K +2,216 +93%
BOH
511
Bank of Hawaii
Hawaii
$474K
WS
512
Wedbush Securities
California
$473K -$25.6K -254 -5%
TFF
513
Timothy F. Fidgeon
$466K
Jane Street
514
Jane Street
New York
$457K -$2.78M -27,569 -86%
CTC
515
Central Trust Company
Missouri
$454K
CAM
516
Cypress Asset Management
Texas
$449K +$22.4K +222 +5%
NPC
517
National Planning Corporation
California
$448K +$92.4K +917 +27%
KFA
518
Kelleher Financial Advisors
New York
$447K
WTIM
519
Wilmington Trust Investment Management
Delaware
$438K
TBNY
520
Trustco Bank (New York)
New York
$436K -$21.8K -216 -5%
CI
521
Constellation Investments
Ohio
$436K +$32.7K +324 +8%
Los Angeles Capital Management
522
Los Angeles Capital Management
California
$430K -$12.1K -120 -3%
MHS
523
M Holdings Securities
Oregon
$429K +$418K +4,146 New
LNWWM
524
Laird Norton Wetherby Wealth Management
California
$428K -$1.81K -18 -0.4%
EFS
525
Essex Financial Services
Connecticut
$427K