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Microchip Technology

Name Holding Trade Value Shares
Change
Change in
Stake
AWM
601
AE Wealth Management
Kansas
$662K +$517K +9,409 New
RL
602
Rogco LP
Oklahoma
$662K -$45.8K -833 -8%
PIM
603
Platinum Investment Management
Australia
$654K +$511K +9,296 New
I
604
INVST
Indiana
$653K +$510K +9,285 New
WAP
605
Wealthcare Advisory Partners
Pennsylvania
$652K +$15K +273 +3%
PCM
606
Princeton Capital Management
New Jersey
$652K -$133K -2,423 -21%
WCM
607
Wisconsin Capital Management
Wisconsin
$650K
OTL
608
Oak Thistle LLC
New York
$646K -$1.55M -28,228 -75%
EPIM
609
Evelyn Partners Investment Management
$645K
PA
610
Parallel Advisors
California
$635K +$182K +3,315 +58%
DWT
611
Dorsey & Whitney Trust
South Dakota
$633K +$221K +4,014 +81%
TA
612
Tectonic Advisors
Texas
$626K +$47K +856 +11%
SYBT
613
Stock Yards Bank & Trust
Kentucky
$626K -$189K -3,437 -28%
BOJHT
614
Bank of Jackson Hole Trust
Wyoming
$621K +$9.56K +174 +2%
I
615
InceptionR
California
$621K -$144K -2,627 -23%
TRCT
616
Tower Research Capital (TRC)
New York
$615K -$382K -6,955 -44%
OCM
617
One Capital Management
California
$615K +$19.1K +347 +4%
WIS
618
Wright Investors Service
Connecticut
$613K +$2.2K +40 +0.5%
PP
619
Prudential plc
United Kingdom
$613K
AC
620
Avestar Capital
New York
$610K +$476K +8,665 New
VIM
621
VELA Investment Management
Ohio
$608K -$918K -16,706 -66%
CPCPP
622
Canada Post Corporation Pension Plan
Canada
$608K +$475K +8,636 New
CNBT
623
Canandaigua National Bank & Trust
New York
$606K -$71.5K -1,300 -13%
CFG
624
Citizens Financial Group
Rhode Island
$593K +$167K +3,036 +56%
HI
625
Horizon Investments
North Carolina
$592K -$391K -7,121 -46%