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Devon Energy

Name Holding Trade Value Shares
Change
Change in
Stake
JTWM
1001
Jackson Thornton Wealth Management
Alabama
$317K +$356K +7,671 New
BFS
1002
Bradley Foster & Sargent
Connecticut
$317K +$355K +7,662 New
HW
1003
Hancock Whitney
Mississippi
$315K +$102K +2,192 +40%
PEP
1004
Pickering Energy Partners
Texas
$310K +$116K +2,500 +50%
LWP
1005
LeClair Wealth Partners
Ohio
$306K +$344K +7,417 New
SACTSONJ
1006
Supplemental Annuity Collective Trust (SACT) of New Jersey
New Jersey
$306K +$146K +3,147 +74%
HAI
1007
Hennessy Advisors Inc
California
$305K -$121K -2,618 -26%
MCM
1008
Marathon Capital Management
Maryland
$303K +$340K +7,340 New
ET
1009
Equitable Trust
Tennessee
$301K +$92.6K +1,998 +38%
NA
1010
Nautilus Advisors
California
$300K +$329K +7,094 New
FFG
1011
Fortem Financial Group
California
$298K – – –
SAM
1012
Smartleaf Asset Management
Massachusetts
$297K – – –
ISWM
1013
Independent Solutions Wealth Management
New York
$297K – – –
CIS
1014
Custom Index Systems
New York
$297K +$80.2K +1,731 +32%
CTA
1015
Chesley Taft & Associates
Illinois
$295K +$331K +7,139 New
MFG
1016
Midwest Financial Group
Kansas
$294K -$82.3K -1,775 -20%
HWAM
1017
Hennion & Walsh Asset Management
New Jersey
$294K -$201K -4,327 -38%
KIG
1018
Kessler Investment Group
Indiana
$292K +$5.19K +112 +2%
FNA
1019
First National Advisers
Nebraska
$290K +$21K +454 +7%
WA
1020
WealthTrust Axiom
Pennsylvania
$286K +$133K +2,879 +71%
SPC
1021
Sigma Planning Corp
Michigan
$285K +$10.8K +233 +3%
AW
1022
Avion Wealth
Texas
$285K +$4.91K +106 +2%
PCMC
1023
Paragon Capital Management (Colorado)
Colorado
$285K -$329K -7,101 -51%
TH
1024
TCTC Holdings
Texas
$284K +$77.7K +1,677 +32%
COI
1025
Connable Office Inc
Michigan
$284K -$6.58K -142 -2%