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Medtronic

Name Holding Trade Value Shares
Change
Change in
Stake
LI
651
LMCG Investments
Massachusetts
$1.71M -$6.67M -90,580 -78%
CCM
652
Cadence Capital Management
Massachusetts
$1.7M -$155K -2,099 -8%
NFG
653
Next Financial Group
Texas
$1.7M +$122K +1,659 +7%
CEP
654
Chicago Equity Partners
Illinois
$1.7M -$2.22M -30,080 -54%
MIM
655
Miller Investment Management
Pennsylvania
$1.69M
PCTC
656
Perkins Coie Trust Company
Washington
$1.68M +$48.6K +660 +3%
UFG
657
United Fire Group
Iowa
$1.67M
GF
658
Gerstein Fisher
New York
$1.67M +$3.9K +53 +0.2%
TCM
659
Telos Capital Management
California
$1.66M +$95.7K +1,299 +6%
CC
660
Courier Capital
New York
$1.66M +$68.9K +935 +4%
FMC
661
First Merchants Corp
Indiana
$1.66M +$65.7K +892 +4%
ZB
662
Zions Bancorporation
Utah
$1.66M -$78.8K -1,070 -5%
BC
663
Blackhill Capital
New Jersey
$1.66M
JA
664
JLB & Associates
Michigan
$1.65M -$47.9K -650 -3%
DPIM
665
Duff & Phelps Investment Management
Illinois
$1.64M -$77.3K -1,050 -4%
FNT
666
First Nebraska Trust
Nebraska
$1.64M -$1.88M -25,492 -51%
FFBTD
667
First Financial Bank - Trust Division
Ohio
$1.63M -$96K -1,303 -5%
HC
668
Hendley & Co
Ohio
$1.62M -$281K -3,820 -14%
LBC
669
Lowe Brockenbrough & Co
Virginia
$1.61M -$103K -1,405 -6%
TCT
670
TIAA CREF Trust
Missouri
$1.6M -$373K -5,068 -17%
IR
671
IAT Reinsurance
New York
$1.6M
PAG
672
Private Advisor Group
New Jersey
$1.57M +$212K +2,874 +14%
NIT
673
NumerixS Investment Technologies
British Columbia, Canada
$1.57M +$1.73M +23,440 New
SHA
674
Smith Hayes Advisers
Nebraska
$1.55M -$53.3K -723 -3%
OCAM
675
Onex Canada Asset Management
Ontario, Canada
$1.54M +$337K +4,571 +17%