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Boston Scientific

Name Holding Trade Value Shares
Change
Change in
Stake
CW
651
Channel Wealth
California
$3.3M +$593K +6,045 +21%
TCM
652
Twin Capital Management
Pennsylvania
$3.3M +$30.1K +307 +0.9%
ACM
653
Aquatic Capital Management
Illinois
$3.26M -$29.1M -296,912 -90%
CCAM
654
Codex Capital Asset Management
Texas
$3.18M +$3.26M +33,300 New
PSB
655
Passumpsic Savings Bank
Vermont
$3.14M +$3.23M +32,941 New
FAMI
656
Fideuram Asset Management (Ireland)
$3.12M +$2.97M +30,308 New
VU
657
Vanderbilt University
Tennessee
$3.11M +$634K +6,469 +25%
QCG
658
Quadrant Capital Group
Ohio
$3.11M +$29K +296 +0.9%
HAG
659
HighPoint Advisor Group
Illinois
$3.07M -$2.08M -21,208 -40%
MYLI
660
Meiji Yasuda Life Insurance
Japan
$3.06M -$38.7K -395 -1%
TPCW
661
TD Private Client Wealth
New York
$3.02M -$823K -8,399 -21%
VT
662
Vise Technologies
New York
$3.01M +$327K +3,332 +12%
S
663
SignatureFD
Georgia
$3M +$15.3K +156 +0.5%
BP
664
Ballentine Partners
Massachusetts
$2.99M -$125K -1,274 -4%
QPBE
665
Quintet Private Bank (Europe)
Luxembourg
$2.98M +$876K +8,931 +40%
GI
666
GAMMA Investing
California
$2.94M -$214K -2,184 -7%
SF
667
Summit Financial
New Jersey
$2.93M -$148K -1,511 -5%
RS
668
R Squared
Hong Kong
$2.93M -$31K -316 -1%
BF
669
BOK Financial
Oklahoma
$2.93M +$258K +2,630 +9%
CK
670
Cohen Klingenstein
New York
$2.91M
GT
671
Glenview Trust
Kentucky
$2.88M -$41.3K -421 -1%
CC
672
Courier Capital
New York
$2.88M -$111K -1,128 -4%
GC
673
Grimes & Company
Massachusetts
$2.88M +$569K +5,799 +24%
ACM
674
Advent Capital Management
New York
$2.86M +$2.94M +30,000 New
CT
675
Chicago Trust
Illinois
$2.85M -$422K -4,307 -13%