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Microchip Technology

Name Holding Trade Value Shares
Change
Change in
Stake
SCM
651
Silvant Capital Management
Georgia
$127K
DSC
652
Duncker Streett & Co
Missouri
$125K +$16.6K +400 +15%
ESB
653
Essex Savings Bank
Connecticut
$121K -$9.28K -224 -7%
PA
654
Parallel Advisors
California
$116K +$23.7K +572 +26%
FHA
655
Flagship Harbor Advisors
Massachusetts
$112K -$22K -532 -16%
VC
656
Vestor Capital
Illinois
$109K +$108K +2,618 New
Bessemer Group
657
Bessemer Group
New Jersey
$100K +$47.1K +1,136 +89%
QCG
658
Quadrant Capital Group
Ohio
$98K +$49.5K +1,194 +88%
CFA
659
Carroll Financial Associates
North Carolina
$97K +$166 +4 +0.2%
SMFS
660
Squar Milner Financial Services
California
$95K
NFG
661
Next Financial Group
Texas
$95K +$4.72K +114 +5%
NFH
662
NEXT Financial Holdings
Texas
$95K +$94.7K +2,286 New
TC
663
Truvestments Capital
Florida
$95K +$95.3K +2,300 New
PMFA
664
Plante Moran Financial Advisors
Michigan
$91K +$249 +6 +0.3%
IA
665
IFP Advisors
Florida
$88K -$70.7K -1,706 -45%
JFGIW
666
Johnson Financial Group Inc (Wisconsin)
Wisconsin
$88K
CYG
667
Clean Yield Group
Vermont
$87K -$49.7K -1,200 -36%
VCM
668
Vigilant Capital Management
Maine
$87K
GRP
669
Global Retirement Partners
California
$84K +$8.62K +208 +11%
CFG
670
CKW Financial Group
Hawaii
$83K
APA
671
American Portfolios Advisors
New York
$82.8K -$6.88K -166 -8%
LA
672
Legacy Advisors
Pennsylvania
$82K +$81.8K +1,974 New
TNBTD
673
Trustmark National Bank Trust Department
Mississippi
$80K
EWM
674
Executive Wealth Management
Michigan
$79K
ST
675
Smithfield Trust
Pennsylvania
$79K