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Microchip Technology

Name Holding Trade Value Shares
Change
Change in
Stake
AIS
526
AlphaOne Investment Services
Pennsylvania
$484K +$220K +4,770 +82%
ATC
527
Argent Trust Co
Tennessee
$484K +$263K +5,712 +117%
TSS
528
Two Sigma Securities
New York
$480K +$484K +10,506 New
RIM
529
Redpoint Investment Management
Australia
$478K -$85.3K -1,852 -15%
GEA
530
Glen Eagle Advisors
New Jersey
$469K +$166K +3,610 +54%
CI
531
Conning Inc
Connecticut
$467K -$5.53K -120 -1%
PR
532
Payden & Rygel
California
$466K
AssetMark Inc
533
AssetMark Inc
California
$465K -$4.05K -88 -0.9%
FAAS
534
First Allied Advisory Services
California
$464K -$90.1K -1,956 -16%
LFAS
535
Level Four Advisory Services
Texas
$464K +$1.47K +32 +0.3%
ECM
536
ETrade Capital Management
Virginia
$463K -$436K -9,470 -48%
IRF
537
IBM Retirement Fund
New York
$459K -$49.4K -1,072 -10%
JG
538
Jefferies Group
New York
$457K -$3.29M -71,300 -88%
OIA
539
Optimum Investment Advisors
Illinois
$452K -$129K -2,800 -22%
PCM
540
Penserra Capital Management
California
$451K +$29.3K +636 +7%
SPC
541
Sigma Planning Corp
Michigan
$447K +$32.3K +700 +8%
CB
542
CNB Bank
Pennsylvania
$434K -$15.8K -344 -3%
II
543
Inspire Investing
Idaho
$430K +$176K +3,812 +68%
SI
544
Sensato Investors
California
$429K -$5.08M -110,160 -92%
RBA
545
Richard Bernstein Advisors
New York
$421K
ZCA
546
Zeke Capital Advisors
Pennsylvania
$416K +$93.3K +2,026 +29%
WSCM
547
Wellington Shields Capital Management
New York
$414K -$157K -3,400 -27%
DADC
548
D.A. Davidson & Co
Montana
$409K -$47.1K -1,022 -10%
BA
549
Bridgewater Associates
Connecticut
$408K -$5.51M -119,682 -93%
PHK
550
Point72 Hong Kong
Hong Kong
$405K +$404K +8,778 +8,957%