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Idexx Laboratories

Name Holding Trade Value Shares
Change
Change in
Stake
DT
726
Diversified Trust
Tennessee
$432K -$229K -457 -34%
OTL
727
Oak Thistle LLC
New York
$423K +$160K +319 +58%
CI
728
Cigna Investments
Connecticut
$423K -$4.52K -9 -1%
WCF
729
West Coast Financial
California
$418K
HAG
730
HighPoint Advisor Group
Illinois
$417K +$18.6K +37 +4%
PHIC
731
Pine Haven Investment Counsel
Massachusetts
$416K +$31.1K +62 +8%
FCP
732
Fidelis Capital Partners
Florida
$415K -$44.7K -89 -9%
CGL
733
Clarius Group LLC
Washington
$406K -$1.51K -3 -0.4%
TGAM
734
TBH Global Asset Management
Tennessee
$406K
Fisher Asset Management
735
Fisher Asset Management
Washington
$405K +$417K +831 New
Empower Advisory Group
736
Empower Advisory Group
Colorado
$404K -$5.02K -10 -1%
BTI
737
Blue Trust Inc
Georgia
$402K +$215K +429 +136%
GA
738
Goldstein Advisors
Wisconsin
$400K
OIA
739
OneDigital Investment Advisors
Kansas
$398K +$36.6K +73 +10%
PAA
740
Peregrine Asset Advisers
Oregon
$398K
CG
741
Cynosure Group
Utah
$397K +$78.8K +157 +24%
DWT
742
Dorsey & Whitney Trust
South Dakota
$395K +$6.02K +12 +2%
OCM
743
One Capital Management
California
$393K
AA
744
Addison Advisors
Vermont
$391K -$17.6K -35 -4%
CWM
745
Congress Wealth Management
Massachusetts
$387K -$49.2K -98 -11%
MA
746
Mutual Advisors
Nebraska
$381K +$170K +338 +72%
BPA
747
Beacon Pointe Advisors
California
$379K -$7.03K -14 -2%
YC
748
Yarbrough Capital
Tennessee
$379K
FC
749
Fulcrum Capital
Washington
$378K
VAS
750
Vestmark Advisory Solutions
Massachusetts
$373K +$96.9K +193 +34%