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Bristol-Myers Squibb

Name Holding Trade Value Shares
Change
Change in
Stake
OPCM
1901
Osborne Partners Capital Management
California
$343K
CC
1902
Centiva Capital
New York
$342K -$141K -2,160 -30%
CL
1903
CSS LLC
Illinois
$341K -$274K -4,200 -45%
AW
1904
Avion Wealth
Texas
$340K
EF
1905
Empowered Funds
Pennsylvania
$340K +$334K +5,119 New
PA
1906
Procyon Advisors
Connecticut
$339K -$44.1K -676 -12%
NJBEST
1907
New Jersey Better Educational Savings Trust
New Jersey
$339K
RCG
1908
Rock Creek Group
District of Columbia
$339K +$64.2K +984 +24%
FA
1909
Financial Advisors
Massachusetts
$337K
HFAS
1910
Hummer Financial Advisory Services
Illinois
$337K
CPSAC
1911
Chas P. Smith & Associates (CPS)
Florida
$336K -$1.76K -27 -0.5%
OCM
1912
Orser Capital Management
Texas
$336K +$13K +200 +4%
CIP
1913
Convergence Investment Partners
Florida
$335K -$19K -292 -6%
LF
1914
Lantz Financial
Illinois
$335K -$11K -168 -3%
SAM
1915
S.A. Mason
Michigan
$335K +$65 +1 +0%
PA
1916
Probity Advisors
Texas
$334K -$14.1K -216 -4%
HA
1917
Harbor Advisors
Florida
$334K
HIC
1918
Harvey Investment Company
Kentucky
$334K
NP
1919
NorthRock Partners
Minnesota
$333K +$16.4K +251 +5%
ACP
1920
Aveo Capital Partners
Colorado
$333K +$49.9K +766 +18%
EF
1921
Exeter Financial
Arizona
$332K -$3.26K -50 -1%
BFA
1922
Brendel Financial Advisors
New Hampshire
$332K
CISOA
1923
Capital Investment Services of America
Wisconsin
$332K +$6.52K +100 +2%
WA1
1924
Wimmer Associates 1
California
$331K -$22.5K -345 -7%
LBC
1925
Lawrence B. Cohen
$330K