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Microchip Technology

Name Holding Trade Value Shares
Change
Change in
Stake
FHC
676
First Horizon Corporation
Tennessee
$366K -$52K -682 -12%
AA
677
Alesco Advisors
New York
$360K – – –
PR
678
Payden & Rygel
California
$359K – – –
WI
679
Wintrust Investments
Illinois
$359K – – –
ER
680
Enlightenment Research
Florida
$359K +$366K +4,800 New
KA
681
Kovack Advisors
Florida
$358K -$762 -10 -0.2%
MCM
682
MAI Capital Management
Ohio
$357K -$9.14K -120 -2%
RSWM
683
Robertson Stephens Wealth Management
California
$355K – – –
XS
684
XR Securities
Illinois
$355K +$362K +4,746 New
GC
685
Grimes & Company
Massachusetts
$353K -$6.4K -84 -2%
TAM
686
Trust Asset Management
Texas
$352K +$48.1K +632 +16%
FC
687
FORA Capital
Florida
$349K +$355K +4,656 New
PP
688
Prudential plc
United Kingdom
$345K -$17.1K -224 -5%
PAS
689
Park Avenue Securities
New York
$345K +$9.6K +126 +3%
RC
690
RegentAtlantic Capital
New Jersey
$345K +$351K +4,604 New
FDCDDQ
691
Federation des caisses Desjardins du Quebec
Quebec, Canada
$343K – – –
BRWA
692
B. Riley Wealth Advisors
Florida
$342K -$17.5K -230 -5%
LCM
693
Laurion Capital Management
New York
$338K – – –
FRM
694
Fox Run Management
Connecticut
$338K +$133K +1,744 +63%
LNC
695
Lincoln National Corp
Pennsylvania
$337K -$457 -6 -0.1%
TSS
696
Two Sigma Securities
New York
$334K +$340K +4,458 New
CDH
697
Charles D. Hyman
$332K – – –
IAIM
698
International Assets Investment Management
Florida
$330K -$5.38M -70,650 -58%
RWA
699
Redhawk Wealth Advisors
Minnesota
$330K +$128K +1,674 +61%
CA
700
Cullinan Associates
Kentucky
$329K +$30.5K +400 +10%