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Coca-Cola

Name Holding Trade Value Shares
Change
Change in
Stake
PFM
851
Parsec Financial Management
North Carolina
$2.61M -$127K -2,761 -5%
BBA
852
BLB&B Advisors
Pennsylvania
$2.61M -$89.1K -1,934 -3%
TBNY
853
Trustco Bank (New York)
New York
$2.61M -$23.3K -505 -0.9%
WC
854
Woodstock Corp
Massachusetts
$2.61M +$4.93K +107 +0.2%
HT
855
HAP Trading
New York
$2.6M +$2.68M +58,206 New
IA
856
IFG Advisory
Georgia
$2.58M +$52K +1,129 +2%
CIA
857
Covington Investment Advisors
Pennsylvania
$2.57M +$12.7K +275 +0.5%
APA
858
American Portfolios Advisors
New York
$2.55M +$76.4K +1,658 +3%
ACA
859
Anchor Capital Advisors
Massachusetts
$2.55M -$164K -3,570 -6%
VCM
860
Violich Capital Management
California
$2.54M -$368K -8,000 -12%
BCM
861
Brookstone Capital Management
Illinois
$2.5M -$176K -3,831 -6%
BONST
862
Bank of Nova Scotia Trust
Ontario, Canada
$2.5M -$88.3K -1,918 -3%
BCFS
863
Butensky & Cohen Financial Security
Florida
$2.5M +$102K +2,210 +4%
S
864
Seeyond
France
$2.5M -$744K -16,159 -22%
TRCT
865
Tower Research Capital (TRC)
New York
$2.49M +$2.57M +55,711 New
PI
866
PFS Investments
Georgia
$2.49M +$452K +9,819 +21%
CT
867
Cambridge Trust
Massachusetts
$2.48M -$248K -5,386 -9%
AW
868
ACG Wealth
Georgia
$2.47M -$152K -3,306 -6%
RAM
869
Roanoke Asset Management
New Jersey
$2.47M -$190K -4,115 -7%
ST
870
Sabal Trust
Florida
$2.46M -$15.7K -340 -0.6%
PP
871
PDS Planning
Ohio
$2.46M +$52K +1,128 +2%
PA
872
Parallel Advisors
California
$2.45M -$13.2K -287 -0.5%
TCOV
873
Trust Company of Vermont
Vermont
$2.44M -$1.16M -25,274 -32%
BHBT
874
Burke & Herbert Bank & Trust
Virginia
$2.43M -$1.2K -26 -0%
PAS
875
Park Avenue Securities
New York
$2.43M +$2.51M +54,461 New