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Medtronic

Name Holding Trade Value Shares
Change
Change in
Stake
CC
426
Cipher Capital
New York
$6.12M +$5.99M +79,609 New
FM
427
Family Management
New York
$6.07M +$609K +8,095 +11%
CCM
428
Cohen Capital Management
California
$6.06M
CPIM
429
Columbia Partners Investment Management
Virginia
$6.06M -$104K -1,384 -2%
PA
430
Profund Advisors
Maryland
$5.92M -$998K -13,253 -15%
ANI
431
American National Insurance
Texas
$5.91M
Susquehanna International Group
432
Susquehanna International Group
Pennsylvania
$5.83M -$378K -5,015 -6%
Brown Advisory
433
Brown Advisory
Maryland
$5.79M -$739K -9,820 -12%
FCMC
434
Founders Capital Management (Connecticut)
Connecticut
$5.75M -$261K -3,468 -4%
CIM
435
Calvert Investment Management
Maryland
$5.75M +$5.63M +74,733 New
HIMC
436
Heritage Investors Management Corp
Maryland
$5.74M -$53.3K -708 -0.9%
BAM
437
Berkshire Asset Management
Pennsylvania
$5.71M -$51K -678 -0.9%
SCM
438
Sterling Capital Management
North Carolina
$5.65M +$215K +2,852 +4%
DC
439
Deere & Company
Illinois
$5.64M -$59.2K -787 -1%
FSA
440
Franklin Street Advisors
North Carolina
$5.63M -$574K -7,631 -9%
PPCM
441
Pillar Pacific Capital Management
California
$5.55M +$55.3K +735 +1%
VC
442
Vicus Capital
Pennsylvania
$5.49M -$12.9K -171 -0.2%
LD
443
Lipe & Dalton
New York
$5.38M -$233K -3,100 -4%
SCM
444
Suffolk Capital Management
New York
$5.35M +$5.24M +69,552 New
RS
445
Robeco Schweiz
Switzerland
$5.35M +$9.79K +130 +0.2%
EVM
446
Evelyn V. Moreno
$5.34M +$15.1K +200 +0.3%
Fayez Sarofim & Co
447
Fayez Sarofim & Co
Texas
$5.27M -$13.2K -176 -0.3%
AT
448
Arden Trust
Delaware
$5.24M -$18.7K -248 -0.4%
LBC
449
Lawrence B. Cohen
$5.23M -$396K -5,260 -7%
JPMIA
450
J.P. Marvel Investment Advisors
Massachusetts
$5.2M +$5.09M +67,552 New