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Cardinal Health

Name Holding Trade Value Shares
Change
Change in
Stake
BIAS
626
Beacon Investment Advisory Services
New Jersey
$805K +$441K +2,852 +125%
FWP
627
FAS Wealth Partners
Kansas
$796K +$2.63K +17 +0.3%
WS
628
Wedbush Securities
California
$795K +$1.85K +12 +0.2%
1SB
629
1ST Source Bank
Indiana
$792K -$141K -916 -15%
AAMU
630
APG Asset Management US
New York
$790K – – –
SI
631
Severin Investments
Missouri
$786K +$64K +414 +9%
LP
632
LMR Partners
United Kingdom
$784K +$22.4K +145 +3%
QCG
633
Quadrant Capital Group
Ohio
$782K +$6.33K +41 +0.8%
IC
634
Inscription Capital
Texas
$780K +$76.8K +497 +11%
SAM
635
Strategy Asset Managers
California
$775K +$762K +4,935 New
DIM
636
Delta Investment Management
California
$769K – – –
BG
637
Bahl & Gaynor
Ohio
$760K -$2.32K -15 -0.3%
LC
638
LCNB Corp
Ohio
$755K – – –
FHA
639
Flagship Harbor Advisors
Massachusetts
$747K +$31.5K +204 +4%
MWM
640
Meridian Wealth Management
Kentucky
$746K -$552K -3,572 -43%
MG
641
Mather Group
Illinois
$746K -$28K -181 -4%
WCA
642
Westover Capital Advisors
Delaware
$744K +$74.3K +481 +11%
A
643
AlphaQuest
New York
$740K -$1.56M -10,107 -68%
CHAM
644
Clear Harbor Asset Management
Connecticut
$739K -$15.6K -101 -2%
GT
645
Greenleaf Trust
Michigan
$731K -$46.8K -303 -6%
BJL
646
Brighton Jones LLC
Washington
$731K -$16.2K -105 -2%
TCOV
647
Trust Company of Vermont
Vermont
$723K – – –
CPCPP
648
Canada Post Corporation Pension Plan
Canada
$723K +$124K +800 +21%
VT
649
Vise Technologies
New York
$720K -$221K -1,428 -24%
MSE
650
MUFG Securities EMEA
United Kingdom
$717K +$597K +3,866 +548%