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Medtronic

Name Holding Trade Value Shares
Change
Change in
Stake
PAM
576
Princeton Alpha Management
New Jersey
$2.97M +$3.06M +40,053 New
BFA
577
Bragg Financial Advisors
North Carolina
$2.97M -$342K -4,476 -10%
GL
578
Globe Life
Texas
$2.96M -$2.44M -32,000 -44%
DADC
579
D.A. Davidson & Co
Montana
$2.96M -$156K -2,041 -5%
COI
580
Connable Office Inc
Michigan
$2.96M -$740K -9,680 -19%
AB
581
AT Bancorp
Iowa
$2.96M +$2.48M +32,413 +430%
MC
582
Moors & Cabot
Massachusetts
$2.96M -$209K -2,730 -6%
NB
583
NBT Bank
New York
$2.94M +$41.7K +546 +1%
NCM
584
Narwhal Capital Management
Georgia
$2.93M +$30.6K +400 +1%
VAM
585
Visium Asset Management
New York
$2.93M -$40.5M -529,579 -93%
ATC
586
Argent Trust Company
Louisiana
$2.92M +$3.01M +39,437 New
CI
587
Conning Inc
Connecticut
$2.92M -$33.6K -440 -1%
Toronto Dominion Bank
588
Toronto Dominion Bank
Ontario, Canada
$2.91M +$9.32K +122 +0.3%
LI
589
Lafayette Investments
Maryland
$2.88M
DY
590
Dowling & Yahnke
California
$2.88M -$542K -7,095 -15%
DP
591
Dearborn Partners
Illinois
$2.88M -$555K -7,265 -16%
SIP
592
Stoneridge Investment Partners
Pennsylvania
$2.83M -$1.24M -16,289 -30%
FVCM
593
F&V Capital Management
Florida
$2.77M +$75.3K +985 +3%
CCM
594
Coldstream Capital Management
Washington
$2.76M -$260K -3,409 -8%
6CM
595
683 Capital Management
New York
$2.74M
AIA
596
AGF Investments America
Ontario, Canada
$2.73M
BUB
597
BBVA USA Bancshares
Texas
$2.72M +$593K +7,760 +27%
Twin Tree Management
598
Twin Tree Management
Texas
$2.71M +$2.25M +29,513 +414%
MYLI
599
Meiji Yasuda Life Insurance
Japan
$2.71M -$22.9K -300 -0.8%
CA
600
Cetera Advisors
Colorado
$2.69M -$49.1K -642 -2%