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Air Products & Chemicals

Name Holding Trade Value Shares
Change
Change in
Stake
HAM
1301
Harmony Asset Management
Arizona
$351K -$91.7K -292 -19%
CGL
1302
Clarius Group LLC
Washington
$349K -$9.73K -31 -3%
UF
1303
Univest Financial
Pennsylvania
$348K -$62.8K -200 -14%
PAM
1304
Paradigm Asset Management
New York
$348K -$1.35M -4,300 -78%
WPC
1305
White Pine Capital
Minnesota
$348K
EFG
1306
Everhart Financial Group
Ohio
$348K +$34.5K +110 +10%
CH
1307
Canton Hathaway
Rhode Island
$348K
CAM
1308
Cidel Asset Management
Ontario, Canada
$347K
BMC
1309
Beaton Management Company
Massachusetts
$346K
UCB
1310
United Community Bank
South Carolina
$345K -$22K -70 -6%
OW
1311
Olistico Wealth
Oklahoma
$345K +$31.4K +100 +9%
BMC
1312
Benin Management Corp
Connecticut
$345K +$9.42K +30 +3%
EWM
1313
Empirical Wealth Management
Washington
$344K
O
1314
Ossiam
France
$344K +$98.9K +315 +36%
AC
1315
Avestar Capital
New York
$343K +$35.8K +114 +11%
FNBSF
1316
First National Bank Sioux Falls
South Dakota
$342K
1IA
1317
1620 Investment Advisors
Massachusetts
$342K +$6.28K +20 +2%
MPI
1318
Mairs & Power Inc
Minnesota
$341K -$23.6K -75 -6%
CPIG
1319
Chicago Partners Investment Group
Illinois
$341K +$42.1K +134 +13%
AIM
1320
Athena Investment Management
California
$341K -$8.79K -28 -2%
ADL
1321
Asset Dedication LLC
California
$339K -$41.5K -132 -10%
BCA
1322
Bay Colony Advisors
Massachusetts
$338K -$7.54K -24 -2%
PI
1323
PFG Investments
New York
$338K -$14.8K -47 -4%
FAFN
1324
First Affirmative Financial Network
Colorado
$337K -$29.8K -95 -8%
WG
1325
Welch Group
Alabama
$337K