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Canadian Pacific Kansas City

Name Holding Trade Value Shares
Change
Change in
Stake
TCM
526
Tuttle Capital Management
Connecticut
$622K
PCM
527
Princeton Capital Management
New Jersey
$615K -$19.1K -250 -3%
SVWAG
528
Sound View Wealth Advisors Group
Georgia
$615K -$134K -1,757 -18%
DDC
529
DF Dent & Co
Maryland
$613K -$90.5K -1,184 -13%
MOS
530
MGO One Seven
Ohio
$611K +$63.6K +833 +11%
SF
531
Summit Financial
New Jersey
$608K +$78.8K +1,032 +14%
DA
532
Dover Advisors
Virginia
$606K -$143K -1,878 -19%
MG
533
Marex Group
$605K +$620K +8,120 New
GAG
534
GM Advisory Group
New York
$599K
EI
535
Ethic Inc
New York
$595K +$611K +7,994 New
PNC
536
Park National Corp
Ohio
$582K +$67.3K +881 +13%
CPIG
537
Chicago Partners Investment Group
Illinois
$580K +$5.81K +76 +1%
HWM
538
HB Wealth Management
Georgia
$573K +$51.8K +678 +10%
FAFN
539
First Affirmative Financial Network
Colorado
$573K +$9.24K +121 +2%
IA
540
IFP Advisors
Florida
$572K -$70.5K -923 -11%
EMB
541
Elefante Mark B
$565K +$81.4K +1,065 +16%
RFC
542
Regions Financial Corp
Alabama
$560K -$15.3K -200 -3%
CCM
543
Cohen Capital Management
California
$559K
AFG
544
Atomi Financial Group
New York
$557K +$65.6K +859 +13%
PTP
545
Platform Technology Partners
New York
$553K -$8.02K -105 -1%
BG
546
Bahl & Gaynor
Ohio
$552K
TPM
547
Triasima Portfolio Management
Quebec, Canada
$547K -$2.32M -30,360 -81%
WB
548
WesBanco Bank
West Virginia
$545K -$24.8K -325 -4%
RA
549
RFG Advisory
Alabama
$540K +$1.53K +20 +0.3%
CIA
550
Concurrent Investment Advisors
Florida
$539K -$67.3K -881 -11%