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Name Holding Trade Value Shares
Change
Change in
Stake
NAMP
651
NorthStar Asset Management (Pennsylvania)
Pennsylvania
$699K +$26.6K +200 +4%
SFSIG
652
San Francisco Sentry Investment Group
California
$697K -$31.5K -237 -4%
TSS
653
Two Sigma Securities
New York
$678K -$115K -864 -14%
BFO
654
Biltmore Family Office
North Carolina
$678K -$1.99K -15 -0.3%
SWM
655
SeaCrest Wealth Management
New York
$674K +$9.83K +74 +1%
LMIM
656
Lockheed Martin Investment Management
Maryland
$673K -$266K -2,000 -27%
SC
657
Scotia Capital
Ontario, Canada
$673K +$26.6K +200 +4%
HH
658
Hilltop Holdings
Texas
$672K +$23.4K +176 +3%
JCM
659
Jacobi Capital Management
Pennsylvania
$671K +$57.3K +431 +9%
CSS
660
Cubist Systematic Strategies
Connecticut
$667K -$2.21M -16,655 -76%
CFG
661
Citizens Financial Group
Rhode Island
$667K -$210K -1,578 -23%
BFA
662
Bragg Financial Advisors
North Carolina
$666K -$213K -1,600 -23%
BFEC
663
Benjamin F. Edwards & Company
Missouri
$660K +$9.83K +74 +1%
ST
664
Sabal Trust
Florida
$659K -$23.9M -180,010 -97%
WTC
665
WhitTier Trust Company
Nevada
$659K -$67.4K -507 -9%
AAP
666
Aristotle Atlantic Partners
Florida
$655K +$149K +1,123 +28%
WIS
667
Wright Investors Service
Connecticut
$646K -$7.84K -59 -1%
FHA
668
First Horizon Advisors
Tennessee
$646K +$664K +4,999 +5,207%
ACI
669
Alpha Cubed Investments
California
$639K -$13.2M -99,626 -95%
CS
670
Comerica Securities
Michigan
$637K +$40.4K +304 +6%
VIA
671
Vident Investment Advisory
Georgia
$632K +$72.4K +545 +12%
GXMC
672
Global X Management Company
New York
$628K -$52.1K -392 -7%
ECM
673
Evergreen Capital Management
Washington
$626K +$8.11K +61 +1%
PA
674
Parallel Advisors
California
$625K -$28.6K -215 -4%
APA
675
American Portfolios Advisors
New York
$620K -$1.46K -11 -0.2%