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Check Point Software Technologies

Name Holding Trade Value Shares
Change
Change in
Stake
FWM
476
FSA Wealth Management
Massachusetts
$239K +$242K +2,150 New
TNB
477
TCF National Bank
South Dakota
$238K
SPIA
478
Steward Partners Investment Advisory
New York
$237K +$1.8K +16 +0.8%
BG
479
Bahl & Gaynor
Ohio
$233K
TFS
480
TrustCore Financial Services
Tennessee
$233K
VFPI
481
Vantage Financial Partners (Illinois)
Illinois
$233K +$11.2K +100 +5%
FRM
482
Fox Run Management
Connecticut
$233K +$236K +2,104 New
CG
483
Caprock Group
Idaho
$232K -$5.06K -45 -2%
PTC
484
Private Trust Company
Ohio
$231K -$9.78K -87 -4%
JT
485
Jump Trading
Illinois
$231K +$234K +2,085 New
DAS
486
Dynamic Advisor Solutions
Arizona
$228K -$41.1K -366 -15%
W
487
Wealthquest
Ohio
$225K
BOC
488
Barbara Oil Co
Illinois
$222K -$225K -2,000 -50%
NED
489
Nancy E. Dempze
$222K
HCM
490
Harvey Capital Management
Florida
$221K
NWM
491
Nicola Wealth Management
British Columbia, Canada
$221K
PAS
492
Park Avenue Securities
New York
$219K -$29.6K -263 -12%
9WM
493
9258 Wealth Management
Ohio
$219K +$221K +1,970 New
CAM
494
Carret Asset Management
New York
$216K +$11.2K +100 +5%
CG
495
Colony Group
Massachusetts
$215K -$6.41K -57 -3%
VI
496
Vestcor Inc
New Brunswick, Canada
$215K +$218K +1,942 New
CICI
497
Capital Investment Counsel Inc
North Carolina
$211K
CIC
498
Carnegie Investment Counsel
Ohio
$211K
EMG
499
Ellington Management Group
Connecticut
$211K +$214K +1,900 New
AC
500
Avestar Capital
New York
$208K -$7.53K -67 -3%