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Eli Lilly

Name Holding Trade Value Shares
Change
Change in
Stake
Twin Tree Management
951
Twin Tree Management
Texas
$303K -$657K -8,207 -69%
WT
952
Washington Trust
Rhode Island
$302K +$6K +75 +2%
SCA
953
Snowden Capital Advisors
New York
$301K -$17.4K -218 -5%
WIC
954
Wilkins Investment Counsel
Massachusetts
$300K -$400 -5 -0.1%
WPW
955
Waldron Private Wealth
Pennsylvania
$300K +$8K +100 +3%
DTL
956
Dynamic Technology Lab
Singapore
$298K +$298K +3,725 New
MSR
957
Main Street Research
Connecticut
$296K -$5.6K -70 -2%
MA
958
MCF Advisors
Kentucky
$295K -$31.2K -390 -10%
CFN
959
Cordasco Financial Network
Florida
$295K
FBA
960
Front Barnett Associates
Illinois
$294K
SS
961
Sunbelt Securities
Texas
$294K +$1.36K +17 +0.5%
GLI
962
Guardian Life Insurance
New York
$292K -$1.36K -17 -0.5%
CT
963
Chicago Trust
Illinois
$291K -$40K -500 -12%
SFSG
964
Stearns Financial Services Group
North Carolina
$291K +$80 +1 +0%
CS
965
Comerica Securities
Michigan
$291K +$18.4K +230 +7%
OPCM
966
Osborne Partners Capital Management
California
$289K
TSW
967
Thompson Siegel & Walmsley
Virginia
$288K +$78K +975 +37%
MWM
968
Mission Wealth Management
California
$286K +$1.68K +21 +0.6%
PAM
969
Princeton Alpha Management
New Jersey
$282K -$291K -3,635 -51%
AB
970
AT Bancorp
Iowa
$279K
GCC
971
Guardian Capital (Canada)
Ontario, Canada
$278K +$74.4K +929 +37%
SFG
972
StrategIQ Financial Group
Indiana
$277K +$1.44K +18 +0.5%
LBC
973
Lawrence B. Cohen
$273K
HHC
974
Hutchin Hill Capital
New York
$273K +$24K +300 +10%
VDI
975
Vaughan David Investments
Illinois
$270K