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Microchip Technology

Name Holding Trade Value Shares
Change
Change in
Stake
APC
651
Aspire Private Capital
North Carolina
$365K +$197K +2,648 +129%
EI
652
Ethic Inc
New York
$361K +$49.7K +666 +17%
S
653
SignatureFD
Georgia
$360K +$23.1K +310 +7%
FDCDDQ
654
Federation des caisses Desjardins du Quebec
Quebec, Canada
$356K – – –
ACM
655
AlphaCrest Capital Management
New York
$355K -$898K -12,036 -72%
HI
656
Harbour Investments
Wisconsin
$355K +$341K +4,576 New
CA
657
Clearstead Advisors
Ohio
$352K – – –
LCM
658
Laurion Capital Management
New York
$351K +$337K +4,520 New
LNC
659
Lincoln National Corp
Pennsylvania
$350K -$11.8K -158 -3%
IC
660
IEQ Capital
California
$350K +$336K +4,508 New
KTA
661
Keeley-Teton Advisors
Illinois
$349K – – –
PAS
662
Park Avenue Securities
New York
$348K -$16.1K -216 -5%
EF
663
Empirical Finance
Pennsylvania
$347K – – –
ONST
664
Old North State Trust
North Carolina
$346K +$31.6K +424 +11%
CDH
665
Charles D. Hyman
$345K – – –
CG
666
Clarus Group
Texas
$344K – – –
H
667
HoyleCohen
California
$338K +$37.3K +500 +13%
CC
668
Courier Capital
New York
$334K – – –
LFF
669
Level Four Financial
Texas
$334K +$6.26K +84 +2%
TMAM
670
Tokio Marine Asset Management
Japan
$329K +$51.8K +694 +20%
CWM
671
CMH Wealth Management
New Hampshire
$327K -$2.35M -31,480 -88%
UBV
672
United Bank (Virginia)
Virginia
$325K +$59.7K +800 +24%
HC
673
Henshaw Capital
Massachusetts
$324K +$311K +4,176 New
BFEC
674
Benjamin F. Edwards & Company
Missouri
$322K -$26.4K -354 -8%
WA
675
WBH Advisory
Maryland
$322K +$149 +2 +0%