We are live on ! Find out more
HD icon

Home Depot

Name Holding Trade Value Shares
Change
Change in
Stake
NEI
851
Northwest & Ethical Investments
Ontario, Canada
$4.35M +$31.8K +170 +0.8%
Voloridge Investment Management
852
Voloridge Investment Management
Florida
$4.34M -$33.5M -179,558 -89%
GHA
853
GW Henssler & Associates
Georgia
$4.32M -$9.34K -50 -0.2%
MPA
854
Marvin & Palmer Associates
Delaware
$4.32M
PC
855
Palo Capital
California
$4.3M -$26.7K -143 -0.6%
KP
856
Keel Point
Alabama
$4.29M -$131K -703 -3%
SBL
857
Sargent Bickham Lagudis
Colorado
$4.27M +$374 +2 +0%
FTC
858
Farmers Trust Company
Ohio
$4.26M +$1.47M +7,866 +56%
UR
859
USCA RIA
Texas
$4.25M +$795K +4,256 +24%
KRSITF
860
Kentucky Retirement Systems Insurance Trust Fund
Kentucky
$4.24M -$935K -5,008 -19%
CTA
861
Chesley Taft & Associates
Illinois
$4.2M +$15.9K +85 +0.4%
ECM
862
ETrade Capital Management
Virginia
$4.19M +$62.4K +334 +2%
DSC
863
Duncker Streett & Co
Missouri
$4.19M +$37.4K +200 +0.9%
NCM
864
Northstar Capital Management
New York
$4.17M -$71K -380 -2%
SCP
865
Silverleafe Capital Partners
Tennessee
$4.16M -$7.66K -41 -0.2%
RP
866
Rice Partnership
Hawaii
$4.15M +$348K +1,861 +10%
SFSIG
867
San Francisco Sentry Investment Group
California
$4.15M -$1.88M -10,082 -32%
TNBTD
868
Trustmark National Bank Trust Department
Mississippi
$4.15M +$272K +1,455 +7%
Lazard Asset Management
869
Lazard Asset Management
New York
$4.15M -$8.15M -43,635 -67%
NIP
870
Nicholas Investment Partners
California
$4.15M +$2.15M +11,509 +118%
BL
871
BFSG LLC
California
$4.14M +$116K +621 +3%
MCWS
872
McKinley Carter Wealth Services
West Virginia
$4.11M -$49.1K -263 -1%
CCM
873
Coldstream Capital Management
Washington
$4.1M +$32.5K +174 +0.8%
EAM
874
EULAV Asset Management
Florida
$4.1M -$187K -1,000 -5%
HFM
875
Hartford Financial Management
Connecticut
$4.09M +$709K +3,796 +22%