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McDonald's

Name Holding Trade Value Shares
Change
Change in
Stake
I
1901
InceptionR
California
$894K +$821K +3,015 New
DPI
1902
Diversified Portfolios Inc
Michigan
$893K -$4.08K -15 -0.5%
WCM
1903
WealthBridge Capital Management
Ohio
$892K +$6.26K +23 +0.8%
SAM
1904
S.A. Mason
Michigan
$891K +$60.4K +222 +8%
CAM
1905
Cidel Asset Management
Ontario, Canada
$891K +$818K +3,005 New
FRA
1906
Front Row Advisors
California
$890K -$97.2K -357 -11%
BC
1907
Blackhill Capital
New Jersey
$890K
TPWA
1908
TRUE Private Wealth Advisors
Oregon
$888K +$81.7K +300 +11%
FDS
1909
First Dallas Securities
Texas
$887K -$371K -1,363 -31%
TC
1910
Trust Company
Kansas
$885K +$140K +515 +21%
WIA
1911
Westbourne Investment Advisors
Maryland
$884K
GPA
1912
Garrison Point Advisors
California
$884K
VPP
1913
Vertex Planning Partners
Illinois
$881K +$88.5K +325 +12%
B
1914
Bellecapital
Switzerland
$881K +$4.63K +17 +0.6%
TT
1915
TI-Trust
Illinois
$879K -$136K -500 -14%
SCI
1916
Stableford Capital II
Arizona
$876K -$26.1K -96 -3%
JWBC
1917
John W. Bristol & Co
New York
$875K
IAP
1918
Indie Asset Partners
Indiana
$875K -$2.45K -9 -0.3%
ZF
1919
Zhang Financial
Michigan
$874K +$21.2K +78 +3%
WAG
1920
Winthrop Advisory Group
Massachusetts
$872K +$29.9K +110 +4%
PFA
1921
Pure Financial Advisors
California
$870K +$85.5K +314 +12%
PTC
1922
Philadelphia Trust Company
Pennsylvania
$868K -$129K -473 -14%
PA
1923
PFG Advisors
Arizona
$868K -$2.99K -11 -0.4%
WC
1924
Whitney & Co
New York
$867K +$1.63K +6 +0.2%
AA
1925
Advisory Alpha
Michigan
$867K +$79.5K +292 +11%