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Consolidated Edison

Name Holding Trade Value Shares
Change
Change in
Stake
FTDI
476
First Trust Direct Indexing
Massachusetts
$656K +$104K +1,209 +21%
ETC
477
Exchange Traded Concepts
Oklahoma
$655K +$269K +3,114 +82%
CK
478
Cohen Klingenstein
New York
$653K
CSI
479
Cross Staff Investments
New York
$653K
MG
480
Mather Group
Illinois
$650K -$12.4M -143,012 -95%
AIC
481
Archer Investment Corporation
Indiana
$649K +$86 +1 +0%
JWBC
482
J.W. Burns & Co
New York
$646K
CCG
483
Cypress Capital Group
Florida
$643K -$8.12K -94 -1%
PAG
484
Powers Advisory Group
Illinois
$639K +$3.11K +36 +0.5%
PTC
485
Private Trust Company
Ohio
$637K
TCA
486
Transcend Capital Advisors
New Jersey
$636K +$9.33K +108 +2%
TCM
487
Teza Capital Management
Illinois
$635K -$275K -3,182 -32%
Vontobel Holding
488
Vontobel Holding
Switzerland
$634K -$6.83K -79 -1%
IC
489
IEQ Capital
California
$634K +$91.1K +1,054 +19%
GD
490
Grandfield & Dodd
New York
$630K
OBWG
491
Onyx Bridge Wealth Group
New York
$626K -$92.4K -1,069 -14%
TCOV
492
Trust Company of Vermont
Vermont
$624K -$58.9K -682 -9%
EF
493
Empirical Finance
Pennsylvania
$624K +$65.8K +762 +13%
CC
494
Cannell & Co
New York
$622K
DADC
495
D.A. Davidson & Co
Montana
$615K -$12.4K -144 -2%
TYCC
496
Texas Yale Capital Corp
Florida
$611K +$20.4K +236 +4%
FPF
497
First Pacific Financial
Washington
$609K -$12.7K -147 -2%
CG
498
Caprock Group
Idaho
$606K -$45.6K -528 -8%
SC
499
Savant Capital
Illinois
$604K +$12.7K +147 +2%
PTC
500
Philadelphia Trust Company
Pennsylvania
$593K +$56.2K +650 +12%