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Microchip Technology

Name Holding Trade Value Shares
Change
Change in
Stake
FDCDDQ
676
Federation des caisses Desjardins du Quebec
Quebec, Canada
$351K
CDH
677
Charles D. Hyman
$351K +$9.75K +130 +3%
FMT
678
First Mercantile Trust
Tennessee
$348K -$35.2K -470 -9%
BB
679
Busey Bank
Illinois
$348K +$340K +4,540 New
LNC
680
Lincoln National Corp
Pennsylvania
$346K +$150 +2 +0%
SC
681
Saturna Capital
Washington
$346K +$52.5K +700 +18%
KTA
682
Keeley-Teton Advisors
Illinois
$345K +$337K +4,498 New
CFGS
683
Concourse Financial Group Securities
Alabama
$344K +$16.5K +220 +5%
FHA
684
First Horizon Advisors
Tennessee
$344K +$108K +1,440 +47%
HTC
685
Haverford Trust Company
Pennsylvania
$340K -$19.3K -258 -3%
H
686
HoyleCohen
California
$334K
EWA
687
EP Wealth Advisors
California
$334K +$66K +880 +25%
HH
688
Hilltop Holdings
Texas
$331K -$5.1K -68 -2%
CG
689
Clarus Group
Texas
$330K
PCS
690
Personal CFO Solutions
New Jersey
$330K +$19.5K +260 +6%
PFM
691
Parsec Financial Management
North Carolina
$326K +$295K +3,928 +100%
PNC
692
Park National Corp
Ohio
$322K
UBV
693
United Bank (Virginia)
Virginia
$321K
WA
694
WBH Advisory
Maryland
$315K +$150 +2 +0%
ONST
695
Old North State Trust
North Carolina
$314K -$13K -174 -4%
IA
696
IFP Advisors
Florida
$313K +$900 +12 +0.3%
VWM
697
Vigilare Wealth Management
Arizona
$309K +$750 +10 +0.2%
WOC
698
West Oak Capital
California
$309K +$640K +8,530 +10,663%
CA
699
Cullinan Associates
Kentucky
$307K -$30K -400 -9%
WS
700
Wedbush Securities
California
$307K -$1.5K -20 -0.5%