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Delta Air Lines

Name Holding Trade Value Shares
Change
Change in
Stake
WG
526
Winton Group
United Kingdom
$338K +$382K +12,032 New
NW
527
NewEdge Wealth
Pennsylvania
$327K +$371K +11,667 New
WFG
528
Wills Financial Group
Virginia
$326K -$209K -6,590 -36%
TC
529
Teilinger Capital
Texas
$325K +$368K +11,600 New
BI
530
Ballast Inc
Kentucky
$317K -$392K -12,334 -52%
CCM
531
Chimera Capital Management
New York
$317K +$358K +11,277 New
SWM
532
Silverlake Wealth Management
Vermont
$317K
SMA
533
Sage Mountain Advisors
Georgia
$316K +$105K +3,315 +42%
DT
534
Diversified Trust
Tennessee
$315K -$167K -5,254 -32%
AWA
535
Arkadios Wealth Advisors
Georgia
$315K -$6.19K -195 -2%
LNC
536
Lincoln National Corp
Pennsylvania
$312K +$81.1K +2,553 +30%
CTC
537
Central Trust Company
Missouri
$310K +$17.7K +557 +5%
SACTSONJ
538
Supplemental Annuity Collective Trust (SACT) of New Jersey
New Jersey
$306K
PWA
539
Peterson Wealth Advisors
Utah
$302K -$45.1K -1,420 -12%
CFD
540
Creative Financial Designs
Indiana
$301K -$889 -28 -0.3%
WT
541
Whittier Trust
California
$301K +$25.7K +808 +8%
RWM
542
Ritholtz Wealth Management
New York
$298K +$337K +10,609 New
BCM
543
BTC Capital Management
Iowa
$297K +$1.94K +61 +0.6%
CCFM
544
Clear Creek Financial Management
Washington
$297K +$26.5K +835 +9%
LA
545
Lifeworks Advisors
Michigan
$297K +$27.5K +866 +11%
RJT
546
Raymond James Trust
Florida
$295K +$8.29K +261 +3%
PMA
547
Prudent Man Advisors
Illinois
$294K -$349 -11 -0.1%
SP
548
Symmetry Partners
Connecticut
$290K +$328K +10,341 New
BDFN
549
Bond & Devick Financial Network
Minnesota
$285K +$323K +10,167 New
TWM
550
Triton Wealth Management
Arizona
$282K -$33.8K -1,063 -10%