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Enterprise Products Partners

Name Holding Trade Value Shares
Change
Change in
Stake
LNC
551
Lincoln National Corp
Pennsylvania
$695K -$59.5K -2,059 -8%
WPC
552
Waters Parkerson & Co
Louisiana
$695K +$49.1K +1,701 +8%
SS
553
Sunbelt Securities
Texas
$694K +$120K +4,161 +21%
SF
554
Synovus Financial
Georgia
$689K -$80.6K -2,791 -10%
EFS
555
Essex Financial Services
Connecticut
$689K -$5.58K -193 -0.8%
KCM
556
Kornitzer Capital Management
Kansas
$688K
CFA
557
Carroll Financial Associates
North Carolina
$679K +$43.5K +1,504 +7%
CIA
558
Cascade Investment Advisors
Oregon
$677K -$14.4K -500 -2%
DLCIG
559
D.L. Carlson Investment Group
New Hampshire
$676K
HH
560
Hilltop Holdings
Texas
$675K +$295K +10,223 +77%
HSBC Holdings
561
HSBC Holdings
United Kingdom
$670K -$4.66M -161,400 -87%
NL
562
NWAM LLC
Washington
$665K -$23.1K -801 -3%
PJSIMP
563
P.J. Schmidt Investment Management (PJS)
Wisconsin
$664K
AWA
564
Acorn Wealth Advisors
Michigan
$664K +$44.8K +1,552 +7%
NEPWA
565
New England Private Wealth Advisors
Massachusetts
$663K -$82.1K -2,840 -11%
CG
566
Clinton Group
New York
$661K +$345K +11,924 +108%
MAM
567
Mark Asset Management
New York
$656K
BFG
568
Beacon Financial Group
Texas
$656K +$636 +22 +0.1%
HPC
569
HM Payson & Co
Maine
$655K -$155K -5,366 -19%
RFO
570
RiverGlades Family Offices
Florida
$652K
TSS
571
Two Sigma Securities
New York
$647K -$851K -29,435 -57%
DWM
572
Dynasty Wealth Management
Florida
$647K -$11.6K -400 -2%
WA
573
WealthTrust-Arizona
Arizona
$642K +$6.91K +239 +1%
Simplex Trading
574
Simplex Trading
Illinois
$619K +$584K +20,216 +1,519%
WT
575
Washington Trust
Rhode Island
$616K -$126K -4,368 -17%