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Devon Energy

Name Holding Trade Value Shares
Change
Change in
Stake
BG
576
Bollard Group
Massachusetts
$757K +$596K +13,528 +232%
AF
577
Aviso Financial
Ontario, Canada
$751K +$61.6K +1,400 +8%
VRM
578
Vectors Research Management
New York
$747K +$43.2K +982 +5%
Brown Advisory
579
Brown Advisory
Maryland
$745K +$80.3K +1,824 +11%
CCM
580
Coldstream Capital Management
Washington
$742K +$51.2K +1,162 +7%
IA
581
IFP Advisors
Florida
$737K +$59.4K +1,348 +8%
GCS
582
Gordian Capital (Singapore)
Singapore
$735K +$167K +3,800 +25%
ICM
583
IMS Capital Management
Oregon
$730K +$271K +6,165 +49%
KRSITF
584
Kentucky Retirement Systems Insurance Trust Fund
Kentucky
$725K -$81.2K -1,845 -9%
PJWM
585
Philip James Wealth Mangement
Georgia
$717K +$807K +18,328 New
CA
586
Clearstead Advisors
Ohio
$716K +$74.1K +1,683 +10%
SSB
587
Sandy Spring Bank
Maryland
$712K -$15K -340 -2%
FCM
588
Fourpath Capital Management
Oklahoma
$711K +$800K +18,173 New
GRP
589
Global Retirement Partners
California
$697K -$134K -3,049 -15%
MML Investors Services
590
MML Investors Services
Massachusetts
$690K -$154K -3,504 -17%
P
591
&Partners
Tennessee
$690K +$782K +17,757 New
OPTFSNA
592
Old Point Trust & Financial Services N A
Virginia
$689K -$22K -500 -3%
BTI
593
Blue Trust Inc
Georgia
$687K +$187K +4,241 +41%
SLI
594
Sumitomo Life Insurance
Japan
$684K +$32K +727 +4%
JIP
595
Jaffetilchin Investment Partners
Florida
$683K -$864K -19,622 -53%
AA
596
ALPS Advisors
Colorado
$683K +$369K +8,384 +93%
GIA
597
Gateway Investment Advisers
Ohio
$679K +$202K +4,581 +36%
CC
598
Courier Capital
New York
$677K +$47.5K +1,079 +7%
VH
599
Visionary Horizons
Tennessee
$675K
JSSH
600
J. Safra Sarasin Holding
$674K -$22.6K -513 -3%