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Medtronic

Name Holding Trade Value Shares
Change
Change in
Stake
SWM
676
Segment Wealth Management
Texas
$1.03M +$60.6K +1,041 +7%
ATC
677
Argent Trust Company
Louisiana
$1.02M -$35K -600 -3%
VAM
678
Verity Asset Management
North Carolina
$1M -$33.1K -568 -3%
CNBT
679
Canandaigua National Bank & Trust
New York
$996K -$14.6K -250 -2%
PIM
680
Provident Investment Management
Michigan
$994K
H
681
Hexavest
Quebec, Canada
$993K
SYBT
682
Stock Yards Bank & Trust
Kentucky
$985K -$24.1K -414 -3%
OMCS
683
Old Mutual Customised Solutions
South Africa
$985K
WSFS
684
Wilmington Savings Fund Society
Delaware
$983K +$54.8K +940 +6%
ACM
685
Aviance Capital Management
Florida
$981K +$928K +15,935 New
ACP
686
Aviance Capital Partners
Florida
$978K
AA
687
Ancora Advisors
Ohio
$978K +$320K +5,500 +53%
VKH
688
Virtu KCG Holdings
New York
$970K -$1.7M -29,123 -65%
OFS
689
Orrstown Financial Services
Pennsylvania
$967K +$56.4K +968 +7%
SCM
690
Steward Capital Management
Michigan
$964K
RIM
691
Regent Investment Management
Kentucky
$960K -$58.3K -1,000 -6%
SFSG
692
Stearns Financial Services Group
North Carolina
$958K +$2.45K +42 +0.3%
MCM
693
Maryland Capital Management
Maryland
$951K -$64.1K -1,100 -7%
PP
694
Palladium Partners
Virginia
$948K
WTC
695
WhitTier Trust Company
Nevada
$939K -$54.3K -932 -6%
MIS
696
Morningstar Investment Services
Illinois
$933K -$48.8K -838 -5%
BBA
697
BLB&B Advisors
Pennsylvania
$933K +$22.7K +390 +3%
OWD
698
Osborn Williams & Donohoe
Ohio
$925K -$69.8K -1,199 -7%
NBC
699
Neuberger Berman Canada
Ontario, Canada
$925K -$40.8K -700 -4%
BAM
700
Burnham Asset Management
New York
$923K +$26.2K +450 +3%