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Medtronic

Name Holding Trade Value Shares
Change
Change in
Stake
BTS
651
BB&T Securities
Virginia
$2.03M +$1.4M +18,522 +247%
OC
652
Oarsman Capital
Wisconsin
$2M -$7.96K -105 -0.4%
DPIM
653
Duff & Phelps Investment Management
Illinois
$1.99M +$527K +6,955 +37%
AI
654
Axiom Investors
Connecticut
$1.98M +$364K +4,800 +23%
JA
655
JLB & Associates
Michigan
$1.97M -$13.1K -173 -0.7%
MCM
656
Moore Capital Management
New York
$1.97M +$1.91M +25,233 New
QOP
657
Quinn Opportunity Partners
Virginia
$1.97M +$1.91M +25,214 New
MIM
658
Miller Investment Management
Pennsylvania
$1.96M
UFG
659
United Fire Group
Iowa
$1.95M
OCM
660
Orleans Capital Management
Louisiana
$1.94M +$1.9K +25 +0.1%
FAAM
661
First Allied Asset Management
California
$1.94M +$226K +2,984 +14%
BC
662
Blackhill Capital
New Jersey
$1.93M +$1.87M +24,732 New
M&T Bank
663
M&T Bank
New York
$1.93M -$12.7M -167,406 -87%
Bank of Nova Scotia
664
Bank of Nova Scotia
Ontario, Canada
$1.91M -$23.8M -313,599 -93%
SIG
665
Schooner Investment Group
Pennsylvania
$1.9M -$379K -5,000 -17%
LWCFA
666
Loring Wolcott & Coolidge Fiduciary Advisors
Massachusetts
$1.89M -$841K -11,098 -31%
DA
667
Dunvegan Associates
California
$1.87M -$38.7K -510 -2%
SHA
668
Smith Hayes Advisers
Nebraska
$1.87M +$189K +2,488 +12%
IR
669
IAT Reinsurance
New York
$1.86M +$1.81M +23,900 New
CC
670
Cognios Capital
Kansas
$1.86M +$243K +3,208 +16%
BC
671
Burney Company
Virginia
$1.85M +$66.5K +878 +4%
FAAS
672
First Allied Advisory Services
California
$1.84M -$764K -10,084 -30%
WCM
673
Westend Capital Management
California
$1.83M +$53.8K +710 +3%
FNT
674
First National Trust
Pennsylvania
$1.82M +$165K +2,173 +10%
EGA
675
Eagle Global Advisors
Texas
$1.82M +$1.77M +23,347 New