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Enterprise Products Partners

Name Holding Trade Value Shares
Change
Change in
Stake
PCTC
851
Perkins Coie Trust Company
Washington
$4K – – –
AIS
852
Accurate Investment Solutions
Pennsylvania
$2K – – –
CS
853
Credential Securities
$1.57K – – –
ED
854
Exane Derivatives
France
$774 -$28 -1 -3%
HW
855
Hedeker Wealth
Illinois
$621 +$401K +14,516 New
N
856
Natixis
France
– -$129M -4,415,400 Closed
CA
857
Commerzbank Aktiengesellschaft
Germany
– -$15.1M -515,000 Closed
AL
858
Agran Libbie
California
– -$8.93M -305,048 Closed
HH
859
HWG Holdings
Texas
– -$6.53M -223,161 Closed
BG
860
BlackRock Group
United Kingdom
– -$3.17M -108,399 Closed
Wolverine Trading
861
Wolverine Trading
Illinois
– -$1.7M -61,536 Closed
VWM
862
Venturi Wealth Management
Texas
– -$1.72M -58,704 Closed
TNB
863
Thomasville National Bank
Georgia
– -$1.25M -42,908 Closed
CIM
864
Corda Investment Management
Texas
– -$1.01M -34,526 Closed
ACI
865
AMP Capital Investors
Australia
– -$753K -26,069 Closed
RDM
866
Retirement Design & Management
Connecticut
– -$601K -20,534 Closed
BL
867
Balentine LLC
Georgia
– -$550K -18,807 Closed
SSA
868
Schonfeld Strategic Advisors
New York
– -$449K -15,358 Closed
QC
869
QCM Cayman
Texas
– -$392K -13,383 Closed
BOTW
870
Bank of the West
California
– -$382K -13,039 Closed
GS
871
Girard Securities
California
– -$339K -11,549 Closed
JG
872
Jefferies Group
New York
– -$309K -11,177 Closed
CWM
873
Cedar Wealth Management
California
– -$324K -11,090 Closed
WP
874
WealthSource Partners
California
– -$321K -10,956 Closed
MCM
875
Millie Capital Management
California
– -$320K -10,940 Closed