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Name Holding Trade Value Shares
Change
Change in
Stake
PK
526
Pflug Koory
Nebraska
$206K
HT
527
Headlands Technologies
Illinois
$206K +$210K +1,040 New
RS
528
R Squared
Hong Kong
$205K -$758K -3,750 -78%
MA
529
MKT Advisors
California
$203K
Members Trust
530
Members Trust
Florida
$202K -$40.4K -200 -16%
ECSS
531
Eurizon Capital SGR SpA
$198K -$52K -257 -20%
PA
532
Parallel Advisors
California
$196K +$6.27K +31 +3%
UB
533
UMB Bank
Missouri
$194K -$3.23K -16 -2%
QL
534
Quarry LP
New York
$190K +$148K +731 +318%
Group One Trading
535
Group One Trading
Illinois
$164K +$168K +831 New
DAM
536
Delta Asset Management
Tennessee
$148K
CI
537
CX Institutional
Indiana
$148K +$202 +1 +0.1%
CFD
538
Creative Financial Designs
Indiana
$135K +$82.1K +406 +146%
BIA
539
Bell Investment Advisors
California
$129K +$607 +3 +0.5%
AUB
540
Atlantic Union Bankshares
Virginia
$125K
Walleye Capital
541
Walleye Capital
New York
$120K +$123K +606 +60,600%
AAG
542
Armstrong Advisory Group
Massachusetts
$119K
SAM
543
Smartleaf Asset Management
Massachusetts
$118K
RFA
544
Reyes Financial Architecture
California
$118K +$33.4K +165 +38%
FHC
545
First Horizon Corporation
Tennessee
$116K +$14K +69 +13%
BL
546
BFSG LLC
California
$115K
HIA
547
Harbor Investment Advisory
Maryland
$115K +$102K +503 +645%
BWA
548
Basecamp Wealth Advisors
Washington
$113K -$6.88K -34 -6%
ST
549
Smithfield Trust
Pennsylvania
$110K
AAM
550
Advisors Asset Management
Colorado
$106K -$34K -168 -24%