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Consolidated Edison

Name Holding Trade Value Shares
Change
Change in
Stake
VT
726
Vise Technologies
New York
$329K -$86.5K -965 -21%
FT
727
Fiduciary Trust
Massachusetts
$328K -$26.9K -300 -8%
CI
728
Cigna Investments
Connecticut
$327K -$6.28K -70 -2%
OC
729
OxenFree Capital
Florida
$327K
LSA
730
Lion Street Advisors
Texas
$326K
GI
731
GAMMA Investing
California
$326K +$26.7K +298 +9%
MFA
732
Mayflower Financial Advisors
Massachusetts
$325K -$1.36M -15,206 -81%
GWSG
733
GPS Wealth Strategies Group
Colorado
$322K -$21.4K -239 -6%
FCB
734
First County Bank
Connecticut
$322K -$1.52K -17 -0.5%
AFG
735
Atomi Financial Group
New York
$322K +$318K +3,542 New
NSIM
736
North Star Investment Management
Illinois
$316K
CWM
737
Campbell Wealth Management
Virginia
$315K +$311K +3,469 New
IWA
738
IVC Wealth Advisors
Pennsylvania
$315K +$48.1K +537 +18%
SS
739
Sunbelt Securities
Texas
$315K -$2.96K -33 -0.9%
SWMG
740
Sard Wealth Management Group
Georgia
$314K -$3.5K -39 -1%
CC
741
Callan Capital
California
$313K +$65.1K +726 +27%
CPA
742
Court Place Advisors
Maryland
$313K
FM
743
Foster & Motley
Ohio
$313K -$50.7K -565 -14%
FHA
744
First Horizon Advisors
Tennessee
$312K -$106K -1,178 -26%
NAM
745
NTV Asset Management
West Virginia
$311K
BBNB
746
Baker Boyer National Bank
Washington
$311K
RAM
747
Roanoke Asset Management
New Jersey
$310K
ST
748
Smithfield Trust
Pennsylvania
$310K
BMCM
749
Bryn Mawr Capital Management
Pennsylvania
$310K
RB
750
Rodgers Brothers
Pennsylvania
$309K