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Name Holding Trade Value Shares
Change
Change in
Stake
BIM
676
Bridgecreek Investment Management
Oklahoma
$452K +$21.3K +508 +5%
HIIFS
677
Harel Insurance Investments & Financial Services
Israel
$451K +$200K +4,756 +76%
WSFS
678
Wilmington Savings Fund Society
Delaware
$450K -$54.6K -1,301 -11%
Chevy Chase Trust
679
Chevy Chase Trust
Maryland
$450K -$40.7K -970 -8%
LJAC
680
L.J. Altfest & Co
New York
$448K +$16.4K +391 +4%
APP
681
Avantax Planning Partners
Iowa
$447K +$2.01K +48 +0.4%
EAM
682
Eagle Asset Management
Florida
$445K -$1.76K -42 -0.4%
IWP
683
Icon Wealth Partners
Texas
$445K +$14.6K +348 +3%
MLFP
684
MPS Loria Financial Planners
Illinois
$445K +$15K +357 +3%
TA
685
Tiedemann Advisors
New York
$444K -$72.7K -1,732 -14%
Prudential Financial
686
Prudential Financial
New Jersey
$444K +$184K +4,394 +68%
SAM
687
SignalPoint Asset Management
Missouri
$443K
TVAMP
688
Tennessee Valley Asset Management Partners
Tennessee
$443K +$41.8K +996 +10%
NSAM
689
North Star Asset Management
Wisconsin
$442K +$50.5K +1,204 +13%
SFG
690
StrategIQ Financial Group
Indiana
$441K +$13.1K +312 +3%
AWE
691
Avidian Wealth Enterprises
Texas
$440K -$18.6K -443 -4%
BFM
692
Boston Financial Management
Massachusetts
$439K
BEAM
693
Baker Ellis Asset Management
Washington
$438K
DIM
694
DC Investments Management
Virginia
$438K +$235K +5,593 +110%
FDS
695
First Dallas Securities
Texas
$437K -$21.3K -508 -5%
QT
696
Quantamental Technologies
New York
$435K -$173K -4,133 -28%
NB
697
NBT Bank
New York
$434K
PV
698
Private Vista
Illinois
$434K +$10.7K +256 +2%
CG
699
CFO4Life Group
Texas
$433K +$109K +2,601 +33%
TYCC
700
Texas Yale Capital Corp
Florida
$429K -$439K -10,464 -50%