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Enterprise Products Partners

Name Holding Trade Value Shares
Change
Change in
Stake
BCM
701
BTR Capital Management
California
$207K -$65.2K -2,800 -25%
EIM
702
Essex Investment Management
Massachusetts
$207K -$2.19K -94 -1%
BCM
703
Brookstone Capital Management
Illinois
$206K -$79.2K -3,403 -29%
WMC
704
Westwood Management Corporation
Illinois
$206K
MA
705
Montag & Associates
Georgia
$204K -$255K -10,960 -57%
Fisher Asset Management
706
Fisher Asset Management
Washington
$203K -$110K -4,721 -36%
MAA
707
Mraz Amerine & Associates
California
$203K
FWM
708
Focused Wealth Management
New York
$203K +$419 +18 +0.2%
VWM
709
Valley Wealth Managers
New Jersey
$202K +$192K +8,225 New
RTS
710
Round Table Services
New Jersey
$200K
QT
711
Quantbot Technologies
New York
$198K +$187K +8,045 New
VHAM
712
Van Hulzen Asset Management
California
$196K -$28K -1,202 -13%
ST
713
Smithfield Trust
Pennsylvania
$190K
LNB
714
Ledyard National Bank
$189K
HR
715
Howe & Rusling
New York
$187K -$30.3K -1,300 -15%
CPA
716
Cowen Prime Advisors
New York
$187K +$140K +6,000 +375%
CFG
717
CKW Financial Group
Hawaii
$178K
KTC
718
Kistler-Tiffany Companies
Pennsylvania
$177K +$2.14K +92 +1%
FCMC
719
Founders Capital Management (Connecticut)
Connecticut
$174K +$2.49K +107 +2%
DLHL
720
Donald L. Hagan LLC
Florida
$170K +$161K +6,920 New
HCM
721
Highlander Capital Management
New Jersey
$162K
BIT
722
BlackRock Institutional Trust
California
$162K +$154K +6,600 New
CB
723
Community Bank
New York
$155K -$7.08K -304 -5%
SIG
724
Stanford Investment Group
California
$155K
PG
725
Patten Group
Tennessee
$148K