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Lockheed Martin

Name Holding Trade Value Shares
Change
Change in
Stake
RPA
1301
Rock Point Advisors
Vermont
$201K
ACM
1302
AUA Capital Management
Pennsylvania
$196K
PCTC
1303
Perkins Coie Trust Company
Washington
$195K -$144K -475 -39%
KTC
1304
Kistler-Tiffany Companies
Pennsylvania
$195K +$150K +496 +198%
MCM
1305
Manchester Capital Management
Vermont
$190K +$1.82K +6 +0.9%
AIP
1306
Almanack Investment Partners
Pennsylvania
$187K -$27.3K -90 -11%
JA
1307
JOYN Advisors
Georgia
$185K +$7.58K +25 +4%
EI
1308
Ellevest Inc
New York
$185K +$214K +705 New
GLI
1309
Guardian Life Insurance
New York
$183K
PFBT
1310
Parkside Financial Bank & Trust
Missouri
$181K +$55.8K +184 +36%
RTC
1311
Riverview Trust Company
Washington
$181K +$210K +691 New
SLF
1312
Sun Life Financial
Ontario, Canada
$179K +$1.21K +4 +0.6%
KA
1313
Kaizen Advisory
Illinois
$179K +$19.4K +64 +10%
FHA
1314
First Horizon Advisors
Tennessee
$178K +$11.8K +39 +6%
ADL
1315
Asset Dedication LLC
California
$177K +$44K +145 +27%
IWA
1316
Intercontinental Wealth Advisors
Texas
$175K -$10K -33 -5%
TFA
1317
Transamerica Financial Advisors
Florida
$170K -$2.73K -9 -1%
CHP
1318
Cable Hill Partners
Oregon
$169K +$1.52K +5 +0.8%
YWP
1319
YorkBridge Wealth Partners
New York
$159K +$4.55K +15 +3%
CHC
1320
City Holding Co
West Virginia
$157K
SAM
1321
Shamrock Asset Management
Texas
$157K
BBA
1322
Braun-Bostich & Associates
Pennsylvania
$156K
AF
1323
Allworth Financial
California
$155K +$16.7K +55 +10%
CAM
1324
Cresset Asset Management
Illinois
$152K +$176K +580 New
CFA
1325
Carroll Financial Associates
North Carolina
$145K +$14.9K +49 +10%