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Microchip Technology

Name Holding Trade Value Shares
Change
Change in
Stake
FHA
651
Flagship Harbor Advisors
Massachusetts
$132K +$3.33K +74 +3%
CFA
652
Carroll Financial Associates
North Carolina
$128K +$90 +2 +0.1%
CFB
653
Cullen/Frost Bankers
Texas
$126K
ED
654
Exane Derivatives
France
$123K -$53.5K -1,190 -34%
BFM
655
Boston Financial Management
Massachusetts
$121K +$103K +2,300 New
FNBOSM
656
First National Bank of South Miami
Florida
$112K
CMBA
657
C.M. Bidwell & Associates
Hawaii
$111K +$94.8K +2,108 New
TCOV
658
Trust Company of Vermont
Vermont
$108K +$13.6K +302 +17%
CC
659
Centiva Capital
New York
$106K -$89.3K -1,984 -50%
GRP
660
Global Retirement Partners
California
$98K +$90 +2 +0.1%
CYG
661
Clean Yield Group
Vermont
$95K
PVH
662
Psagot Value Holdings
Israel
$93K
WB
663
Webster Bank
Connecticut
$89K -$1.98K -44 -3%
OPS
664
Orion Portfolio Solutions
Nebraska
$81K +$9.63K +214 +16%
IAIM
665
International Assets Investment Management
Florida
$79K +$15.9K +354 +0.6%
RA
666
Rational Advisors
New York
$78K +$66K +1,466 New
APA
667
American Portfolios Advisors
New York
$77.1K -$1.26K -28 -2%
SFSIG
668
San Francisco Sentry Investment Group
California
$77K -$9.72K -216 -13%
BWL
669
Bogart Wealth LLC
Virginia
$75K
QCG
670
Quadrant Capital Group
Ohio
$74K -$48.2K -1,072 -43%
WT
671
Whittier Trust
California
$73K -$6.84K -152 -10%
CAM
672
CenterStar Asset Management
Illinois
$73K
IA
673
IndexIQ Advisors
New York
$73K +$55.2K +1,226 +748%
AW
674
Avion Wealth
Texas
$71K
RFA
675
Reilly Financial Advisors
California
$71K +$90 +2 +0.1%