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Enterprise Products Partners

Name Holding Trade Value Shares
Change
Change in
Stake
MCM
551
Maple Capital Management
Vermont
$375K
CL
552
Croft-Leominster
Maryland
$374K +$12.2K +390 +4%
BMO
553
Beck Mack & Oliver
New York
$372K -$365K -11,700 -51%
PPSG
554
Princeton Portfolio Strategies Group
New Jersey
$368K +$125K +4,000 +56%
PAS
555
Partnervest Advisory Services
California
$366K -$37.1K -1,190 -10%
FIM
556
Frontier Investment Management
Texas
$358K
VCAM
557
Van Cleef Asset Management
Ohio
$358K
GC
558
Grimes & Company
Massachusetts
$355K +$37.4K +1,200 +13%
CWM
559
Concert Wealth Management
California
$350K +$3.18K +102 +1%
RT
560
Reliance Trust
Georgia
$348K -$65K -2,086 -17%
MJRIC
561
Mogy Joel R Investment Counsel
California
$347K
AWM
562
Altavista Wealth Management
North Carolina
$345K +$43.6K +1,400 +16%
HR
563
Howe & Rusling
New York
$342K +$54.1K +1,736 +20%
WSFS
564
Wilmington Savings Fund Society
Delaware
$340K -$27K -866 -8%
FWP
565
FAS Wealth Partners
Kansas
$340K +$319K +10,250 New
SAM
566
Solaris Asset Management
New York
$338K
TTWM
567
TCV Trust & Wealth Management
Virginia
$334K -$198K -6,356 -39%
BIM
568
Bridgecreek Investment Management
Oklahoma
$331K
CWA
569
Constellation Wealth Advisors
New York
$329K
CAM
570
Columbia Asset Management
Michigan
$325K +$305K +9,800 New
FHA
571
First Horizon Advisors
Tennessee
$322K +$136K +4,354 +81%
CC
572
Capital Counsel
New York
$318K -$12.5K -400 -4%
PP
573
Palladium Partners
Virginia
$318K
WCM
574
Weston Capital Management
California
$316K -$6.23K -200 -2%
PTC
575
Private Trust Company
Ohio
$314K