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Devon Energy

Name Holding Trade Value Shares
Change
Change in
Stake
Twin Tree Management
526
Twin Tree Management
Texas
$843K +$916K +14,173 New
DY
527
Dowling & Yahnke
California
$829K -$73.1K -1,131 -8%
TMAM
528
Tokio Marine Asset Management
Japan
$828K -$60.3K -933 -6%
PIA
529
Peachtree Investment Advisors
Georgia
$824K +$177K +2,740 +25%
AB
530
Amalgamated Bank
New York
$818K +$58.2K +901 +7%
CBB
531
Citizens Business Bank
California
$815K -$187K -2,900 -17%
PP
532
Paloma Partners
Connecticut
$804K +$873K +13,502 New
QAM
533
Quantres Asset Management
Cayman Islands
$803K +$873K +13,500 New
HCP
534
Holt Capital Partners
Texas
$800K +$804K +12,440 +1,244%
CONA
535
Capital One National Association
New York
$795K -$10.3K -160 -1%
AT
536
Arden Trust
Delaware
$788K -$1.88K -29 -0.2%
CT
537
Coastline Trust
Rhode Island
$788K +$12.3K +190 +1%
MMCM
538
Marque Millennium Capital Management
New York
$778K -$310K -4,800 -27%
MERSOM
539
Municipal Employees' Retirement System of Michigan
Michigan
$777K +$114K +1,760 +16%
SCP
540
Sandhill Capital Partners
New York
$773K – – –
AAM
541
Advisors Asset Management
Colorado
$773K +$84.2K +1,303 +11%
WRM
542
Westport Resources Management
Connecticut
$772K +$87.3K +1,350 +12%
RFC
543
Regions Financial Corp
Alabama
$764K -$6.72K -104 -0.8%
KRSITF
544
Kentucky Retirement Systems Insurance Trust Fund
Kentucky
$750K +$11.8K +182 +1%
CIM
545
CIM Investment Management
Pennsylvania
$740K – – –
CG
546
Clinton Group
New York
$737K +$801K +12,390 New
LIA
547
LS Investment Advisors
Michigan
$732K +$49.1K +759 +7%
BTS
548
BB&T Securities
Virginia
$723K -$1.18M -18,256 -60%
Simplex Trading
549
Simplex Trading
Illinois
$714K +$427K +6,609 +122%
BHWM
550
Bar Harbor Wealth Management
New Hampshire
$712K +$106K +1,640 +16%