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Idexx Laboratories

Name Holding Trade Value Shares
Change
Change in
Stake
DFG
626
Delta Financial Group
New Jersey
$789K
SPIA
627
Steward Partners Investment Advisory
New York
$787K -$3.76K -8 -0.6%
SAM
628
SignalPoint Asset Management
Missouri
$787K -$13.6K -29 -2%
SM
629
STF Management
Texas
$785K +$29.6K +63 +5%
PA
630
Procyon Advisors
Connecticut
$784K +$27.2K +58 +4%
VFA
631
Voya Financial Advisors
Connecticut
$781K -$7.51K -16 -1%
BRWA
632
B. Riley Wealth Advisors
Florida
$768K -$232K -495 -26%
PWM
633
Perigon Wealth Management
California
$768K +$418K +891 +181%
SP
634
Symmetry Partners
Connecticut
$766K -$64.8K -138 -9%
WI
635
Wahed Invest
New York
$765K +$647K +1,378 New
First Manhattan
636
First Manhattan
New York
$763K +$432K +920 +202%
CI Investments Inc
637
CI Investments Inc
Ontario, Canada
$763K -$110K -234 -15%
ONB
638
Old National Bancorp
Indiana
$760K -$174K -371 -21%
GT
639
Glenmede Trust
Pennsylvania
$759K -$1.05M -2,227 -62%
VEA
640
Virtus ETF Advisers
New York
$759K +$9.39K +20 +1%
BB
641
Berkshire Bank
Massachusetts
$755K +$939 +2 +0.1%
GIA
642
GHP Investment Advisors
Colorado
$740K
BPA
643
Beacon Pointe Advisors
California
$739K -$46.9K -100 -7%
FB
644
First Bancorp
Maine
$738K -$12.7K -27 -2%
SAM
645
Simplify Asset Management
Nevada
$730K -$45.1K -96 -7%
LAM
646
LECAP Asset Management
United Kingdom
$727K +$615K +1,309 New
HWM
647
HB Wealth Management
Georgia
$722K -$34.7K -74 -5%
H
648
HoyleCohen
California
$722K
ETC
649
Exchange Traded Concepts
Oklahoma
$719K -$260K -554 -30%
AG
650
Algert Global
California
$714K +$297K +632 +96%