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Microchip Technology

Name Holding Trade Value Shares
Change
Change in
Stake
MCP
776
Mirador Capital Partners
California
$277K -$3.44K -50 -1%
BOPW
777
Brandywine Oak Private Wealth
Pennsylvania
$276K
CI
778
Conning Inc
Connecticut
$276K -$1.31K -19 -0.5%
PA
779
PFG Advisors
Arizona
$274K +$269K +3,905 New
APC
780
Aspire Private Capital
North Carolina
$274K +$8.27K +120 +3%
UBV
781
United Bank (Virginia)
Virginia
$274K
MWA
782
Meridian Wealth Advisors
Texas
$274K
RG
783
Renaissance Group
Kentucky
$272K -$25.1K -364 -9%
OTPPB
784
Ontario Teachers' Pension Plan Board
Ontario, Canada
$271K
DBIA
785
Dumont & Blake Investment Advisors
New Jersey
$270K -$827 -12 -0.3%
PFM
786
Parsec Financial Management
North Carolina
$270K -$7.44K -108 -3%
SFG
787
SNS Financial Group
Minnesota
$269K +$2.27K +33 +0.9%
FIB
788
First Interstate Bank
Montana
$267K
TYCC
789
Texas Yale Capital Corp
Florida
$264K
EI
790
EDMP Inc
Florida
$264K +$4.27K +62 +2%
RC
791
Rovin Capital
Arizona
$263K -$53K -770 -17%
FBFS
792
First Business Financial Services
Wisconsin
$263K
ONST
793
Old North State Trust
North Carolina
$261K -$1.51K -22 -0.6%
WPC
794
Wedmont Private Capital
Pennsylvania
$260K +$246K +3,578 New
IWA
795
IVC Wealth Advisors
Pennsylvania
$260K -$2K -29 -0.8%
ETH
796
Exos TFP Holdings
New York
$258K +$25.9K +376 +11%
SM
797
STF Management
Texas
$258K +$253K +3,667 New
MWM
798
Mission Wealth Management
California
$257K -$9.92K -144 -4%
SIM
799
Sentry Investment Management
Wisconsin
$257K -$11.3K -164 -4%
AT
800
Arvest Trust
Oklahoma
$256K -$12.5K -181 -5%