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Eastman Chemical

Name Holding Trade Value Shares
Change
Change in
Stake
ST
576
Smithfield Trust
Pennsylvania
$138K +$109K +1,062 +246%
MG
577
Mather Group
Illinois
$134K +$18.8K +183 +14%
FHA
578
First Horizon Advisors
Tennessee
$132K -$6.87K -67 -4%
ACM
579
Aster Capital Management
United Arab Emirates
$132K +$139K +1,351 +1,437%
CAL
580
Capital Analysts LLC
Pennsylvania
$130K
IA
581
IFP Advisors
Florida
$125K +$5.23K +51 +4%
TAM
582
Tucker Asset Management
Colorado
$124K -$27.4K -267 -16%
CT
583
Colonial Trust
South Carolina
$124K +$205 +2 +0.1%
AIM
584
Acropolis Investment Management
Missouri
$123K
VI
585
Vestcor Inc
New Brunswick, Canada
$120K -$143K -1,391 -51%
CIBC Private Wealth Group
586
CIBC Private Wealth Group
Georgia
$119K -$45.6K -445 -25%
SSB
587
Sandy Spring Bank
Maryland
$115K
PA
588
Parallel Advisors
California
$114K -$13.6K -133 -10%
TCOV
589
Trust Company of Vermont
Vermont
$113K
WTC
590
WhitTier Trust Company
Nevada
$111K +$48K +468 +63%
AIP
591
Ameritas Investment Partners
Nebraska
$103K -$14.4K -140 -11%
QC
592
Quent Capital
New York
$102K +$43K +419 +60%
AP
593
Atwood & Palmer
Missouri
$100K
VHAM
594
Van Hulzen Asset Management
California
$93.1K +$104K +1,019 New
HI
595
Harbour Investments
Wisconsin
$90K +$718 +7 +0.7%
NRG
596
Nemes Rush Group
Michigan
$89.8K -$60.1K -586 -37%
CTC
597
Central Trust Company
Missouri
$84.4K +$20.5K +200 +28%
VCM
598
Versant Capital Management
Arizona
$83.6K +$23K +224 +32%
CA
599
Clearstead Advisors
Ohio
$83.2K -$1.85K -18 -2%
YDMI
600
Y.D. More Investments
Israel
$82.9K +$1.74K +17 +2%