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Chipotle Mexican Grill

Name Holding Trade Value Shares
Change
Change in
Stake
CG
626
Caprock Group
Idaho
$2.18M +$18K +298 +0.8%
ASN
627
Advisory Services Network
Georgia
$2.17M +$717K +11,902 +49%
PI
628
PFG Investments
New York
$2.16M +$141K +2,338 +7%
RFM
629
Royal Fund Management
Florida
$2.15M +$97K +1,609 +5%
SSI
630
Scott & Selber Inc
Texas
$2.13M -$52.3K -868 -2%
BCM
631
Brookstone Capital Management
Illinois
$2.13M -$685K -11,360 -24%
PWP
632
Pursue Wealth Partners
California
$2.11M +$80.2K +1,330 +4%
TCM
633
Twin Capital Management
Pennsylvania
$2.11M +$1.36M +22,566 +181%
PA
634
Profund Advisors
Maryland
$2.11M +$517K +8,575 +32%
VCP
635
Verus Capital Partners
Arizona
$2.08M +$465K +7,719 +29%
VCM
636
Voleon Capital Management
California
$2.07M +$2.07M +34,272 New
HWM
637
HB Wealth Management
Georgia
$2.06M +$186K +3,085 +10%
EWA
638
EP Wealth Advisors
California
$2.06M -$677K -11,231 -25%
OPW
639
Oxler Private Wealth
New York
$2.04M
LOAMS
640
Lombard Odier Asset Management (Switzerland)
Switzerland
$2.03M +$56.3K +934 +3%
TWM
641
TriaGen Wealth Management
California
$2.01M +$2.01M +33,344 New
TCM
642
Tufton Capital Management
Maryland
$2.01M -$33.1K -550 -2%
TC
643
Trilogy Capital
California
$2M +$356K +5,904 +22%
CAM
644
Cresset Asset Management
Illinois
$1.98M -$9.2M -152,638 -82%
HCCM
645
Hudson Canyon Capital Management
New York
$1.98M
PAS
646
Park Avenue Securities
New York
$1.96M +$271K +4,497 +16%
WFC
647
Western Financial Corp
California
$1.96M -$24K -399 -1%
HW
648
Hancock Whitney
Mississippi
$1.95M -$18.7K -310 -0.9%
MBTD
649
Mechanics Bank - Trust Department
California
$1.95M -$603 -10 -0%
CT
650
Caldwell Trust
Florida
$1.94M +$464K +7,696 +31%