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Enterprise Products Partners

Name Holding Trade Value Shares
Change
Change in
Stake
MMG
676
Monetary Management Group
Missouri
$380K +$29.5K +1,300 +8%
FBT
677
First Bankers Trust
Kentucky
$379K +$3.59K +158 +0.9%
Jane Street
678
Jane Street
New York
$375K -$1.34M -58,791 -77%
DAM
679
Delta Asset Management
Tennessee
$375K
NP
680
NorthRock Partners
Minnesota
$373K +$4.63K +204 +1%
BAS
681
Brown Advisory Securities
Maryland
$372K
CCMW
682
Cypress Capital Management (Wyoming)
Wyoming
$372K
HIA
683
Harbor Investment Advisory
Maryland
$371K
AIC
684
Ameritas Investment Company
Nebraska
$370K +$12.7K +557 +3%
SWM
685
Salvus Wealth Management
New Jersey
$368K +$45 +2 +0%
CPIA
686
Cornell Pochily Investment Advisors
New York
$368K +$409 +18 +0.1%
BCA
687
Bay Colony Advisors
Massachusetts
$367K +$6.56K +289 +2%
TP
688
Tranquility Partners
Tennessee
$367K +$24.7K +1,089 +7%
JPMIA
689
J.P. Marvel Investment Advisors
Massachusetts
$366K
DLA
690
Douglas Lane & Associates
New York
$366K +$44.1K +1,940 +13%
SIS
691
Sound Income Strategies
Florida
$364K -$2.27K -100 -0.6%
Bank of Nova Scotia
692
Bank of Nova Scotia
Ontario, Canada
$362K
WCA
693
Westover Capital Advisors
Delaware
$360K
AC
694
Addison Capital
Pennsylvania
$357K +$5.25K +231 +1%
SW
695
SkyOak Wealth
Michigan
$354K
WDC
696
Woodward Diversified Capital
California
$354K +$568 +25 +0.2%
PHIMC
697
Private Harbour Investment Management & Counsel
Ohio
$353K -$20.7K -912 -5%
NVIM
698
New Vernon Investment Management
Illinois
$352K
VCS
699
Vaughan & Co Securities
New Jersey
$351K
GW
700
GW & Wade
Massachusetts
$349K +$35.4K +1,558 +11%