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Air Products & Chemicals

Name Holding Trade Value Shares
Change
Change in
Stake
GS
1201
GTS Securities
Florida
$335K -$980K -3,998 -74%
CRIG
1202
Charter Research & Investment Group
Connecticut
$335K – – –
LNB
1203
Ledyard National Bank
$335K -$216K -883 -39%
ST
1204
Smithfield Trust
Pennsylvania
$334K -$2.21K -9 -0.6%
CGL
1205
Clarius Group LLC
Washington
$332K -$56.1K -229 -14%
SPIS
1206
Steward Partners Investment Solutions
Oregon
$331K +$335K +1,366 New
CAM
1207
Cozad Asset Management
Illinois
$330K -$9.8K -40 -3%
WKWM
1208
Walter & Keenan Wealth Management
Indiana
$330K – – –
MWM
1209
Mission Wealth Management
California
$330K +$80.4K +328 +32%
PA
1210
Pinnacle Associates
New York
$330K -$229K -933 -41%
BFA
1211
Brendel Financial Advisors
New Hampshire
$329K -$62.5K -255 -16%
OC
1212
Oakworth Capital
Alabama
$328K -$4.17K -17 -1%
WC
1213
Waterloo Capital
Texas
$326K +$330K +1,347 New
FI
1214
Financial Insights
Washington
$326K -$110K -447 -25%
OPCM
1215
Osborne Partners Capital Management
California
$326K – – –
HCM
1216
Hillman Capital Management
Maryland
$326K +$86K +351 +35%
WG
1217
Wealth Group
North Carolina
$325K +$329K +1,342 New
BTI
1218
Blue Trust Inc
Georgia
$324K -$60.3K -246 -16%
PI
1219
PFG Investments
New York
$324K +$81.6K +333 +33%
AT
1220
Arden Trust
Delaware
$323K -$123K -501 -27%
CSA
1221
Cottage Street Advisors
Massachusetts
$323K +$23.3K +95 +8%
VC
1222
Vicus Capital
Pennsylvania
$321K +$325K +1,326 New
IF
1223
Insight Folios
North Carolina
$321K +$11.3K +46 +4%
PWM
1224
Perigon Wealth Management
California
$320K -$21.6K -88 -6%
HCA
1225
Harbour Capital Advisors
Virginia
$320K – – –