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Enterprise Products Partners

Name Holding Trade Value Shares
Change
Change in
Stake
ATI
1051
ARK & TLK Investments
Oklahoma
$245K +$6.16K +211 +3%
QCM
1052
QRG Capital Management
Illinois
$244K -$33.8K -1,158 -12%
NRC
1053
New Republic Capital
North Carolina
$244K – – –
PFM
1054
Phillips Financial Management
Indiana
$244K – – –
Chevy Chase Trust
1055
Chevy Chase Trust
Maryland
$243K +$24.8K +850 +11%
IEFM
1056
IQ EQ Fund Management
Ireland
$243K -$7.77K -266 -3%
LCM
1057
Leisure Capital Management
California
$242K – – –
CHA
1058
Carmichael Hill & Associates
Maryland
$241K – – –
E3F
1059
Eight 31 Financial
Texas
$240K – – –
GFS
1060
GYL Financial Synergies
Connecticut
$240K -$27.7K -949 -10%
BAM
1061
Bayshore Asset Management
Florida
$240K +$241K +8,250 New
YIA
1062
YHB Investment Advisors
Connecticut
$240K -$6.19K -212 -3%
IFWM
1063
Institute for Wealth Management
Colorado
$240K +$17.8K +611 +8%
TRCT
1064
Tower Research Capital (TRC)
New York
$240K +$23K +787 +11%
ACA
1065
Aptus Capital Advisors
Alabama
$240K +$240K +8,232 New
1WA
1066
180 Wealth Advisors
Washington
$239K +$240K +8,223 New
SMA
1067
Seven Mile Advisory
New Jersey
$238K – – –
PFA
1068
Pure Financial Advisors
California
$237K +$238K +8,157 New
SFWA
1069
Summit Financial Wealth Advisors
Louisiana
$237K +$238K +8,151 New
NIC
1070
Northwest Investment Counselors
Oregon
$237K – – –
PIA
1071
Powell Investment Advisors
Florida
$237K +$4.24K +145 +2%
PA
1072
Prossimo Advisors
California
$236K – – –
GT
1073
Glenview Trust
Kentucky
$236K – – –
VCM
1074
Virtue Capital Management
Tennessee
$235K – – –
FFA
1075
First Foundation Advisors
California
$234K +$13.2K +452 +6%