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Honeywell

Name Holding Trade Value Shares
Change
Change in
Stake
CPS
551
Counsel Portfolio Services
Ontario, Canada
$2.3M -$57.5K -695 -2%
RBC
552
Ronald Blue & Co
Georgia
$2.19M -$72.2K -872 -3%
BFA
553
Bragg Financial Advisors
North Carolina
$2.19M -$81.9K -990 -4%
MSS
554
Mitchell Sinkler & Starr
Pennsylvania
$2.19M -$15.6K -189 -0.7%
DADC
555
D.A. Davidson & Co
Montana
$2.18M -$942K -11,376 -30%
PTC
556
Private Trust Company
Ohio
$2.15M +$9.52K +115 +0.4%
CCM
557
Coldstream Capital Management
Washington
$2.15M +$131K +1,583 +7%
JC
558
Jacobs & Co
California
$2.13M -$3.73K -45 -0.2%
CCT
559
Country Club Trust
Missouri
$2.13M -$221K -2,671 -9%
WSC
560
Wellington Shields & Co
New York
$2.12M
WA
561
WESPAC Advisors
California
$2.08M +$38.2K +462 +2%
CC
562
Curian Capital
Colorado
$2.08M +$299K +3,615 +17%
AL
563
Agran Libbie
California
$2.08M -$8.03K -97 -0.4%
FMC
564
First Merchants Corp
Indiana
$2.08M +$16.4K +198 +0.8%
FQ
565
First Quadrant
California
$2.08M +$2.06M +24,929 New
HI
566
HBK Investments
Texas
$2.08M +$2.06M +24,929 New
PA
567
Profund Advisors
Maryland
$2.07M -$700K -8,453 -25%
CM
568
Churchill Management
California
$2.05M +$271K +3,271 +15%
SI
569
Stephens Inc
Arkansas
$2.05M -$321K -3,882 -14%
RJFSA
570
Raymond James Financial Services Advisors
Florida
$2.01M -$14.7K -177 -0.7%
AssetMark Inc
571
AssetMark Inc
California
$1.98M -$73.1K -883 -4%
HCM
572
Highbridge Capital Management
New York
$1.97M +$1.95M +23,593 New
CB
573
Chemical Bank
Michigan
$1.95M -$23.9K -289 -1%
PTC
574
Philadelphia Trust Company
Pennsylvania
$1.95M -$129K -1,553 -6%
TWA
575
TCI Wealth Advisors
Arizona
$1.95M