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Idexx Laboratories

Name Holding Trade Value Shares
Change
Change in
Stake
SC
651
Scotia Capital
Ontario, Canada
$714K -$2.82K -6 -0.5%
AFC
652
AFT Forsyth & Company
Florida
$712K
WP
653
WealthShield Partners
North Carolina
$710K
SHA
654
Seneca House Advisors
Virginia
$705K +$7.51K +16 +1%
TFS
655
Thoroughbred Financial Services
Tennessee
$705K -$2.82K -6 -0.5%
CCM
656
Coldstream Capital Management
Washington
$703K +$25.8K +55 +5%
EFM
657
E Fund Management
China
$702K +$47.4K +101 +9%
RA
658
RFG Advisory
Alabama
$697K +$108K +230 +22%
MA
659
Montag & Associates
Georgia
$694K
S
660
SignatureFD
Georgia
$693K +$23.5K +50 +4%
ECU
661
Eisler Capital (UK)
United Kingdom
$686K +$580K +1,236 New
MYAM
662
Meiji Yasuda Asset Management
Japan
$685K -$31K -66 -5%
PIM
663
Penobscot Investment Management
Massachusetts
$683K +$75.1K +160 +15%
ADL
664
Asset Dedication LLC
California
$682K -$10.8K -23 -2%
TAM
665
Taurus Asset Management
New York
$680K
NAS
666
Nicolet Advisory Services
Wisconsin
$679K +$24.9K +53 +4%
CQS
667
Credential Qtrade Securities
$678K -$27.2K -58 -5%
DAS
668
Dynamic Advisor Solutions
Arizona
$674K +$72.8K +155 +14%
SWP
669
Stratos Wealth Partners
Ohio
$674K
LT
670
Legacy Trust
Michigan
$674K +$469 +1 +0.1%
P
671
Pitcairn
Pennsylvania
$673K -$4.7K -10 -0.8%
BCM
672
BluePath Capital Management
Georgia
$663K +$9.86K +21 +2%
DP
673
Dearborn Partners
Illinois
$663K -$11.7K -25 -2%
SEM
674
Suncoast Equity Management
Florida
$656K
HI
675
Horizon Investments
North Carolina
$650K +$282K +600 +105%