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Eastman Chemical

Name Holding Trade Value Shares
Change
Change in
Stake
PFBT
551
Parkside Financial Bank & Trust
Missouri
$54K +$813 +10 +2%
Federated Hermes
552
Federated Hermes
Pennsylvania
$50.5K +$49K +603 New
SN
553
Sittner & Nelson
Oregon
$50.3K
RMC
554
Resources Management Corp
Connecticut
$50K -$1.25M -15,327 -96%
CTC
555
Central Trust Company
Missouri
$48.8K -$13K -160 -22%
CHA
556
Carmichael Hill & Associates
Maryland
$48.1K
HB
557
Horizon Bancorp
Indiana
$47K -$91.9K -1,130 -67%
FCA
558
FinTrust Capital Advisors
South Carolina
$46K
NA
559
NewEdge Advisors
Louisiana
$44.6K +$894 +11 +2%
CTA
560
Colonial Trust Advisors
South Carolina
$44.4K
DMBA
561
Deseret Mutual Benefit Administrators
Utah
$44.1K +$8.38K +103 +24%
RA
562
Rise Advisors
New York
$43K -$5.85K -72 -12%
AWM
563
Avior Wealth Management
Nebraska
$41.9K +$325 +4 +0.8%
TLCM
564
Twin Lakes Capital Management
California
$41.9K
TLA
565
Tanglewood Legacy Advisors
Texas
$41.6K
VCM
566
Vigilant Capital Management
Maine
$41K
PFPT
567
Pinnacle Financial Partners (Tennessee)
Tennessee
$40.6K
HI
568
Harbour Investments
Wisconsin
$39.6K +$163 +2 +0.4%
LC
569
Lindbrook Capital
California
$38.9K +$11.3K +139 +43%
WP
570
WealthPLAN Partners
Nebraska
$37.3K -$1.06K -13 -3%
SCA
571
Stonebridge Capital Advisors
Minnesota
$36.8K +$20.5K +252 +134%
FDCDDQ
572
Federation des caisses Desjardins du Quebec
Quebec, Canada
$36.6K
CPG
573
Cornerstone Planning Group
New Jersey
$33.3K +$32.4K +398 New
BCPWM
574
Bradley & Co Private Wealth Management
Florida
$32.5K
WT
575
Whittier Trust
California
$32.3K -$6.67K -82 -18%