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Enterprise Products Partners

Name Holding Trade Value Shares
Change
Change in
Stake
TG
826
TCW Group
California
-$626K -17,326 Closed
JCM
827
Janney Capital Management
Pennsylvania
-$547K -15,133 Closed
QC
828
QCM Cayman
Texas
-$531K -14,693 Closed
TCM
829
Telos Capital Management
California
-$442K -12,250 Closed
BIT
830
BlackRock Institutional Trust
California
-$430K -11,900 Closed
RT
831
Reliance Trust
Georgia
-$379K -10,492 Closed
BONST
832
Bank of Nova Scotia Trust
Ontario, Canada
-$325K -9,000 Closed
MGAM
833
McGowan Group Asset Management
Texas
-$318K -8,806 Closed
S
834
StratiFi
California
-$316K -8,738 Closed
MIAN
835
Mariner Independent Advisor Network
Kansas
-$292K -8,090 Closed
WSFS
836
Wilmington Savings Fund Society
Delaware
-$281K -7,797 Closed
NCCM
837
Nine Chapters Capital Management
New Jersey
-$278K -7,700 Closed
WF
838
WealthTrust Fairport
Ohio
-$263K -7,286 Closed
GCP
839
GSA Capital Partners
United Kingdom
-$254K -7,040 Closed
VWM
840
Valley Wealth Managers
New Jersey
-$253K -7,000 Closed
BAC
841
Boys Arnold & Co
North Carolina
-$245K -6,787 Closed
CG
842
Caprock Group
Idaho
-$243K -6,726 Closed
III
843
Independent Investors Inc
New York
-$227K -6,300 Closed
CAG
844
Crestwood Advisors Group
Massachusetts
-$226K -6,264 Closed
JPTCCM
845
J.P. Turner & Co Capital Management
Georgia
-$218K -6,070 Closed
EB
846
Eastern Bank
Massachusetts
-$219K -6,060 Closed
HL
847
HeadInvest LLC
Maine
-$218K -6,031 Closed
PL
848
Plancorp LLC
Missouri
-$217K -6,020 Closed
SLG
849
Stanley-Laman Group
Pennsylvania
-$217K -6,000 Closed
SM
850
Stratton Management
Pennsylvania
-$217K -6,000 Closed