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Alphatec Holdings

Name Holding Trade Value Shares
Change
Change in
Stake
BAM
201
Belpointe Asset Management
Nevada
$296K
FFN
202
Focus Financial Network
Minnesota
$288K
Victory Capital Management
203
Victory Capital Management
Texas
$280K +$7.11K +384 +3%
Canada Life
204
Canada Life
Manitoba, Canada
$275K +$12.1K +653 +5%
NWAG
205
Net Worth Advisory Group
Utah
$273K +$167 +9 +0.1%
BP
206
Ballentine Partners
Massachusetts
$269K
DT
207
Diversified Trust
Tennessee
$266K +$34.6K +1,868 +17%
M&T Bank
208
M&T Bank
New York
$265K +$234K +12,636 New
ET
209
Entropy Technologies
New York
$265K -$182K -9,858 -44%
PA
210
PharVision Advisers
Florida
$256K +$225K +12,179 New
A
211
AlphaQuest
New York
$254K +$33.3K +1,799 +18%
AWE
212
Avidian Wealth Enterprises
Texas
$243K +$796 +43 +0.4%
AB
213
Atlas Brown
Kentucky
$242K
VanEck Associates
214
VanEck Associates
New York
$238K +$43.4K +2,342 +26%
TRCT
215
Tower Research Capital (TRC)
New York
$229K +$101K +5,432 +100%
ATC
216
Argent Trust Co
Tennessee
$225K
EC
217
EntryPoint Capital
New York
$224K -$195K -10,509 -50%
RS
218
R Squared
Hong Kong
$221K +$194K +10,482 New
SI
219
Stephens Inc
Arkansas
$220K -$55.1K -2,979 -22%
CIC
220
Chilton Investment Company
Connecticut
$217K
PNC
221
Park National Corp
Ohio
$212K
Pathstone Holdings
222
Pathstone Holdings
New Jersey
$207K -$5.16K -279 -3%
MFG
223
Merit Financial Group
Georgia
$207K +$182K +9,848 New
AIP
224
Ameritas Investment Partners
Nebraska
$204K
I
225
InceptionR
California
$203K -$21.5K -1,162 -11%