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Devon Energy

Name Holding Trade Value Shares
Change
Change in
Stake
MS
626
Maven Securities
Jersey
$532K -$119K -3,343 -19%
WHG
627
Westwood Holdings Group
Texas
$532K +$35.5K +1,000 +8%
SSB
628
Sandy Spring Bank
Maryland
$531K -$17.9K -504 -3%
VI
629
Vestcor Inc
New Brunswick, Canada
$526K +$35K +987 +8%
WC
630
Woodstock Corp
Massachusetts
$524K +$71K +2,000 +17%
KCM
631
Kathmere Capital Management
Pennsylvania
$520K +$250K +7,056 +103%
GIC
632
Generali Investments CEE
Czech Republic
$520K
CWA
633
Crux Wealth Advisors
California
$515K -$145K -4,073 -23%
HFM
634
Harvest Fund Management
China
$515K +$488K +13,757 New
BFG
635
Bleakley Financial Group
New Jersey
$515K +$121K +3,404 +33%
PS
636
Principal Securities
Iowa
$514K
PIMJS
637
PKO Investment Management Joint-Stock
Poland
$511K -$319K -9,000 -40%
A
638
Argentarii
Ohio
$511K +$222K +6,258 +85%
PCM
639
Polymer Capital Management
New York
$510K +$484K +13,626 New
RMC
640
Resources Management Corp
Connecticut
$509K -$33.2K -935 -6%
USAA
641
United Services Automobile Association
Texas
$509K
NP
642
NorthRock Partners
Minnesota
$502K +$80.2K +2,260 +20%
EFG
643
Everhart Financial Group
Ohio
$501K +$476K +13,406 New
ECM
644
Evergreen Capital Management
Washington
$501K +$84.4K +2,377 +22%
BAM
645
Brave Asset Management
New Jersey
$494K +$106K +3,000 +29%
IC
646
Inscription Capital
Texas
$490K +$346K +9,757 New
Brown Advisory
647
Brown Advisory
Maryland
$488K -$143K -4,029 -24%
HCM
648
Howard Capital Management
Georgia
$487K -$498K -14,034 -52%
MSAM
649
Moloney Securities Asset Management
Missouri
$486K +$122K +3,435 +36%
APCM
650
Arbiter Partners Capital Management
New York
$486K