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Consolidated Edison

Name Holding Trade Value Shares
Change
Change in
Stake
BF
451
BOK Financial
Oklahoma
$722K -$2.85K -33 -0.4%
HI
452
Horizon Investments
North Carolina
$717K +$175K +2,024 +36%
ACM
453
Adalta Capital Management
New York
$713K
GG
454
Gofen & Glossberg
Illinois
$711K +$25.9K +300 +4%
DC
455
Davenport & Co
Virginia
$708K +$114K +1,321 +21%
IF
456
IRON Financial
Illinois
$705K +$643K +7,445 New
WT
457
Washington Trust
Rhode Island
$704K -$6.57K -76 -1%
JWCA
458
J.W. Cole Advisors
Florida
$703K -$67.4K -780 -10%
OFW
459
Omnia Family Wealth
Florida
$703K
AT
460
Arden Trust
Delaware
$702K -$26.9K -311 -4%
HH
461
HWG Holdings
Texas
$698K +$637K +7,377 New
MC
462
Miramar Capital
Illinois
$694K +$633K +7,325 New
SDAM
463
Shulman DeMeo Asset Management
New York
$689K -$8.64K -100 -1%
AWA
464
Aaron Wealth Advisors
Illinois
$684K +$5.59M +64,761 New
RC
465
Roundview Capital
New Jersey
$680K +$620K +7,179 New
PIP
466
Peachtree Investment Partners
Florida
$679K +$145K +1,679 +31%
CRWM
467
Castle Rock Wealth Management
California
$677K
ASN
468
Advisory Services Network
Georgia
$669K -$31.2K -361 -5%
EH
469
Equitable Holdings
New York
$667K -$56.4K -653 -8%
BCM
470
Birmingham Capital Management
Alabama
$666K
ST
471
Spinnaker Trust
Maine
$666K
GWM
472
Gitterman Wealth Management
New Jersey
$660K -$282K -3,259 -32%
PA
473
Parallel Advisors
California
$660K -$10.3K -119 -2%
HA
474
Herold Advisors
New York
$658K +$950 +11 +0.2%
CAM
475
Cubic Asset Management
Massachusetts
$656K