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Gilead Sciences

Name Holding Trade Value Shares
Change
Change in
Stake
CCC
1076
Chelsea Counsel Company
California
$339K -$15.6K -200 -5%
CG
1077
Clinton Group
New York
$338K -$1.34M -17,218 -81%
BO
1078
BRR OpCo
Ohio
$334K +$50.2K +645 +19%
HCC
1079
Hirtle Callaghan & Co
Pennsylvania
$332K +$62.3K +800 +25%
HC
1080
Highmount Capital
New York
$330K
MWP
1081
MYCIO Wealth Partners
Pennsylvania
$329K +$17.1K +220 +6%
BUB
1082
BBVA USA Bancshares
Texas
$325K -$3.19K -41 -1%
EA
1083
Emerald Advisers
Pennsylvania
$324K +$82.6K +1,061 +37%
SIM
1084
SSI Investment Management
California
$322K -$5.68K -73 -2%
AW
1085
Alpha Windward
Massachusetts
$317K +$51.1K +657 +21%
GHAM
1086
Gilman Hill Asset Management
Connecticut
$316K -$4.67K -60 -2%
PHAM
1087
Palisades Hudson Asset Management
Florida
$314K
PC
1088
Passport Capital
California
$313K +$12.1K +155 +4%
MSFP
1089
Mark Sheptoff Financial Planning
Connecticut
$307K +$38.1K +490 +15%
NSAM
1090
North Star Asset Management
Wisconsin
$300K -$15.6K -200 -5%
NA
1091
Navellier & Associates
Nevada
$300K -$13.1K -168 -4%
CAMI
1092
Concord Asset Management (Illinois)
Illinois
$299K +$280K +3,600 New
HIM
1093
Hillsdale Investment Management
Ontario, Canada
$298K +$38.9K +500 +16%
BA
1094
Birinyi Associates
Connecticut
$298K +$280K +3,600 New
DII
1095
Domini Impact Investments
New York
$295K +$277K +3,555 New
FDS
1096
First Dallas Securities
Texas
$293K +$275K +3,531 New
K
1097
Kemper
Illinois
$290K
DAC
1098
Dividend Assets Capital
South Carolina
$290K +$23.7K +304 +10%
PFBT
1099
Parkside Financial Bank & Trust
Missouri
$289K -$47.4K -609 -15%
NFC
1100
Northeast Financial Consultants
Connecticut
$287K