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Enterprise Products Partners

Name Holding Trade Value Shares
Change
Change in
Stake
CG
626
Cutler Group
California
$282K -$7.1M -305,513 -94%
WCM
627
Whitener Capital Management
North Carolina
$282K +$4.71K +203 +1%
BC
628
Barnett & Company
Tennessee
$281K -$4.18K -180 -0.9%
DLA
629
Douglas Lane & Associates
New York
$280K -$19.7K -850 -4%
IC
630
InterOcean Capital
Illinois
$280K -$9.99K -430 -2%
MA
631
Montag & Associates
Georgia
$279K -$32.5K -1,400 -7%
UAS
632
United Asset Strategies
New York
$279K +$241K +10,382 +114%
ACM
633
Ayrshire Capital Management
Connecticut
$277K +$6.76K +291 +2%
TP
634
Tranquility Partners
Tennessee
$277K +$450K +19,390 New
WS
635
Wedbush Securities
California
$274K -$141K -6,053 -24%
PG
636
Patten Group
Tennessee
$274K -$7.67K -330 -2%
FAIM
637
Financial Advocates Investment Management
Washington
$273K -$13.2K -567 -3%
DAM
638
Delta Asset Management
Tennessee
$271K -$1.11K -48 -0.3%
WB
639
WesBanco Bank
West Virginia
$270K -$44.8K -1,928 -9%
PJSIMP
640
P.J. Schmidt Investment Management (PJS)
Wisconsin
$270K
C
641
Certuity
Florida
$268K -$871K -37,488 -67%
PP
642
PagnatoKarp Partners
Virginia
$268K +$1.63K +70 +0.4%
NWS
643
Newport Wealth Strategies
California
$268K +$62.7K +2,700 +20%
Chevy Chase Trust
644
Chevy Chase Trust
Maryland
$267K -$11.8K -508 -3%
GAM
645
Gould Asset Management
California
$267K
STA
646
Summit Trail Advisors
New York
$267K +$434K +18,688 New
Comerica Bank
647
Comerica Bank
Texas
$266K -$86.2K -3,710 -19%
BFG
648
Beacon Financial Group
Texas
$266K +$14.6K +627 +3%
NSIM
649
North Star Investment Management
Illinois
$265K +$33.5K +1,441 +8%
PV
650
Private Vista
Illinois
$264K