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Idexx Laboratories

Name Holding Trade Value Shares
Change
Change in
Stake
RA
676
RFG Advisory
Alabama
$665K -$13.1K -24 -2%
PSA
677
Plum Street Advisors
Louisiana
$664K +$719K +1,315 New
TAM
678
Taurus Asset Management
New York
$661K – – –
LT
679
Legacy Trust
Michigan
$658K +$2.73K +5 +0.4%
DTL
680
Dynamic Technology Lab
Singapore
$643K +$283K +518 +77%
BP
681
Ballentine Partners
Massachusetts
$641K +$12K +22 +2%
SWP
682
Stratos Wealth Partners
Ohio
$631K -$25.7K -47 -4%
DP
683
Dearborn Partners
Illinois
$624K -$21.9K -40 -3%
BCM
684
BluePath Capital Management
Georgia
$618K -$29K -53 -4%
GCC
685
Guardian Capital (Canada)
Ontario, Canada
$613K +$54.6K +100 +10%
HI
686
Horizon Investments
North Carolina
$611K -$21.3K -39 -3%
AA
687
Ancora Advisors
Ohio
$610K – – –
RFN
688
RDA Financial Network
Iowa
$605K +$613K +1,121 New
SHA
689
Seneca House Advisors
Virginia
$599K -$88.5K -162 -13%
AFC
690
AFT Forsyth & Company
Florida
$595K -$98.4K -180 -14%
H
691
HoyleCohen
California
$594K -$109K -200 -15%
QCG
692
Quadrant Capital Group
Ohio
$591K +$237K +433 +65%
AAM
693
Aureus Asset Management
Massachusetts
$587K – – –
CIS
694
Continental Investors Services
Washington
$582K – – –
FC
695
Forte Capital
New York
$575K – – –
WP
696
WMS Partners
Maryland
$574K +$6.01K +11 +1%
EI
697
Ellevest Inc
New York
$574K -$14.2K -26 -2%
SCTC
698
Sanibel Captiva Trust Company
Florida
$570K +$6.56K +12 +1%
NP
699
NorthRock Partners
Minnesota
$570K +$45.4K +83 +9%
EF
700
Empowered Funds
Pennsylvania
$561K +$124K +227 +28%