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Lincoln Electric

Name Holding Trade Value Shares
Change
Change in
Stake
MP
326
McDonald Partners
Ohio
$878K +$442K +1,866 +104%
DT
327
Diversified Trust
Tennessee
$864K -$28.7K -121 -3%
TCM
328
Tributary Capital Management
Nebraska
$857K -$15.9K -67 -2%
PI
329
PineBridge Investments
New York
$846K +$245K +1,036 +42%
SCP
330
Sivia Capital Partners
California
$825K +$396K +1,671 +94%
IFG
331
Independent Financial Group
California
$825K
VIM
332
Vancity Investment Management
British Columbia, Canada
$812K -$7.82K -33 -1%
KCP
333
Kera Capital Partners
California
$800K +$313K +1,322 +78%
AWA
334
Aaron Wealth Advisors
Illinois
$784K +$328K +1,385 +73%
RFN
335
Redwood Financial Network
Ohio
$768K
CGH
336
Crossmark Global Holdings
Texas
$763K -$9K -38 -1%
SCM
337
Sterling Capital Management
North Carolina
$762K -$41.4K -175 -5%
CL
338
Choreo LLC
Illinois
$754K +$76.7K +324 +12%
US Bancorp
339
US Bancorp
Minnesota
$745K -$172K -727 -19%
FGP
340
Foyston, Gordon, & Payne
Ontario, Canada
$723K +$52.1K +220 +8%
SIC
341
Sigma Investment Counselors
Michigan
$719K
HW
342
Hancock Whitney
Mississippi
$711K -$110K -465 -14%
PAS
343
Park Avenue Securities
New York
$710K +$21.6K +91 +3%
BONH
344
Bank of New Hampshire
New Hampshire
$689K -$73.4K -310 -10%
EPW
345
Evolve Private Wealth
California
$687K +$677K +2,859 New
TRCT
346
Tower Research Capital (TRC)
New York
$684K +$217K +916 +47%
Vontobel Holding
347
Vontobel Holding
Switzerland
$675K
MIC
348
Meridian Investment Counsel
California
$659K -$9.47K -40 -1%
TSS
349
Two Sigma Securities
New York
$651K +$644K +2,718 New
MML Investors Services
350
MML Investors Services
Massachusetts
$647K +$206K +870 +48%