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Idexx Laboratories

Name Holding Trade Value Shares
Change
Change in
Stake
CS
676
Cannell & Spears
New York
$649K
BP
677
Ballentine Partners
Massachusetts
$647K +$292K +622 +114%
EDRH
678
Edmond de Rothschild Holding
Switzerland
$645K -$284K -604 -34%
VF
679
Virtu Financial
New York
$636K +$538K +1,147 New
BFS
680
Bradley Foster & Sargent
Connecticut
$633K
SPC
681
Sigma Planning Corp
Michigan
$627K -$144K -306 -21%
AA
682
Ancora Advisors
Ohio
$627K
NIG
683
NFJ Investment Group
Texas
$626K -$651K -1,386 -55%
OIA
684
OneDigital Investment Advisors
Kansas
$620K +$226K +481 +76%
GCM
685
Graham Capital Management
Connecticut
$614K +$519K +1,106 New
CIS
686
Continental Investors Services
Washington
$607K
EI
687
Ellevest Inc
New York
$604K +$44.6K +95 +10%
AAM
688
Aureus Asset Management
Massachusetts
$604K +$9.39K +20 +2%
FC
689
Forte Capital
New York
$591K -$31.9K -68 -6%
DCM
690
DGS Capital Management
New Jersey
$591K +$54.5K +116 +12%
QI
691
Qtron Investments
Massachusetts
$589K
TCM
692
Teza Capital Management
Illinois
$588K +$497K +1,059 New
WP
693
WMS Partners
Maryland
$584K +$3.76K +8 +0.8%
SCTC
694
Sanibel Captiva Trust Company
Florida
$579K +$490K +1,043 New
DIA
695
Dana Investment Advisors
Wisconsin
$577K +$28.2K +60 +6%
GCC
696
Guardian Capital (Canada)
Ontario, Canada
$574K
GWM
697
Geneos Wealth Management
Colorado
$567K -$6.1K -13 -1%
AWM
698
Aberdeen Wealth Management
Illinois
$565K
WCM
699
Washburn Capital Management
Florida
$557K -$274K -584 -37%
WC
700
Whitney & Co
New York
$555K