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Array Technologies

Name Holding Trade Value Shares
Change
Change in
Stake
AIP
176
Ameritas Investment Partners
Nebraska
$94.8K
AIP
177
ARS Investment Partners
New York
$92.9K -$191K -30,000 -66%
GAA
178
Green Alpha Advisors
Colorado
$92.2K -$108K -16,925 -53%
CIC
179
Carnegie Investment Counsel
Ohio
$84.6K -$106K -16,600 -54%
1IA
180
1620 Investment Advisors
Massachusetts
$84.5K +$89.1K +13,983 New
GIM
181
Granahan Investment Management
Massachusetts
$81.9K -$8.38K -1,315 -9%
Verition Fund Management
182
Verition Fund Management
Connecticut
$80.9K -$431K -67,630 -83%
Principal Financial Group
183
Principal Financial Group
Iowa
$79.5K -$7.17K -1,125 -8%
QCM
184
Qsemble Capital Management
New York
$77.5K -$120K -18,798 -59%
Creative Planning
185
Creative Planning
Kansas
$73.5K -$92.4K -14,494 -54%
FAFN
186
First Affirmative Financial Network
Colorado
$73K +$8.99K +1,410 +13%
AHIA
187
Andrew Hill Investment Advisors
Florida
$72.5K +$76.5K +12,000 New
Prudential Financial
188
Prudential Financial
New Jersey
$72.1K
Vanguard Personalized Indexing Management
189
Vanguard Personalized Indexing Management
California
$71.8K +$75.8K +11,886 New
X
190
Xponance
Pennsylvania
$71K +$10.4K +1,629 +16%
IWC
191
Integrated Wealth Concepts
Massachusetts
$67.1K -$13 -2 -0%
STA
192
Summit Trail Advisors
New York
$63.9K +$67.4K +10,579 New
AB
193
Amalgamated Bank
New York
$32K
Osaic Holdings
194
Osaic Holdings
Arizona
$23.2K -$26.6K -4,166 -52%
TRCT
195
Tower Research Capital (TRC)
New York
$21.4K -$7.36K -1,154 -25%
UA
196
USCF Advisers
California
$21.1K +$14K +2,200 +169%
US Bancorp
197
US Bancorp
Minnesota
$18.9K +$4.44K +697 +29%
PA
198
Parallel Advisors
California
$17.8K -$151K -23,629 -89%
TCOV
199
Trust Company of Vermont
Vermont
$14.7K
FDCDDQ
200
Federation des caisses Desjardins du Quebec
Quebec, Canada
$13.9K