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Carrier Global

Name Holding Trade Value Shares
Change
Change in
Stake
BT
626
Banque Transatlantique
France
$962K -$88.8K -1,337 -8%
PTCG
627
Pring Turner Capital Group
California
$961K
CFM
628
Catalyst Funds Management
Australia
$959K +$1M +15,120 New
QWP
629
Quotient Wealth Partners
Texas
$958K +$26.7K +402 +3%
HI
630
Horizon Investments
North Carolina
$952K +$8.37K +126 +0.8%
PWW
631
Pettyjohn Wood & White
Virginia
$948K -$15.3K -230 -2%
WC
632
Westhampton Capital
North Carolina
$945K -$26.6K -400 -3%
GAM
633
Groupama Asset Management
France
$944K +$133K +1,997 +15%
SRL
634
Scientech Research LLC
New Jersey
$936K +$980K +14,756 New
CT
635
Caldwell Trust
Florida
$927K -$11.9K -179 -1%
JF
636
Jump Financial
Illinois
$926K +$730K +10,980 +303%
VWM
637
VCI Wealth Management
Missouri
$921K -$577K -8,687 -37%
LAM
638
Lakewood Asset Management
Illinois
$915K -$561K -8,447 -37%
CIA
639
Choate Investment Advisors
Massachusetts
$915K -$281K -4,231 -23%
AAM
640
AR Asset Management
California
$913K
MSA
641
MUFG Securities Americas
New York
$906K +$131K +1,978 +16%
MA
642
MJP Associates
Connecticut
$900K +$221K +3,328 +31%
BFA
643
Brendel Financial Advisors
New Hampshire
$893K -$170K -2,563 -15%
SPC
644
Sigma Planning Corp
Michigan
$888K +$71.5K +1,076 +8%
MS
645
Maven Securities
Jersey
$882K +$492K +7,409 +114%
HSA
646
HBK Sorce Advisory
Pennsylvania
$877K +$293K +4,411 +47%
EM
647
ELCO Management
New York
$873K -$1.33K -20 -0.1%
CHC
648
City Holding Co
West Virginia
$870K -$22.9K -345 -2%
PP
649
Prudential plc
United Kingdom
$869K
VBCG
650
Valley Brook Capital Group
Pennsylvania
$865K -$9.97K -150 -1%