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Medtronic

Name Holding Trade Value Shares
Change
Change in
Stake
HF
676
HRT Financial
New York
$3.12M +$3.68M +34,548 New
BCWM
677
Bartlett & Co Wealth Management
Ohio
$3.09M -$278K -2,610 -7%
IRF
678
IBM Retirement Fund
New York
$3.09M +$1.28M +12,008 +54%
FFWA
679
FRG Family Wealth Advisors
Washington
$3.09M -$112K -1,050 -3%
CC
680
Cannell & Co
New York
$3.09M -$74.5K -700 -2%
ADBIC
681
A.D. Beadell Investment Counsel
Wisconsin
$3.08M +$3.64M +34,170 New
BC
682
Bartlett & Co
Ohio
$3.07M +$3.63M +34,084 New
AAM
683
Azzad Asset Management
Virginia
$3.07M -$4.49M -42,211 -55%
SCM
684
Snyder Capital Management
California
$3.07M -$118K -1,109 -3%
VCA
685
Verdence Capital Advisors
Maryland
$3.07M -$181K -1,704 -5%
IEFM
686
IQ EQ Fund Management
Ireland
$3.07M +$11.8K +111 +0.3%
CNBT
687
Canandaigua National Bank & Trust
New York
$3.05M +$204K +1,920 +6%
SAM
688
Smithbridge Asset Management
Pennsylvania
$3.05M +$113K +1,065 +3%
SCA
689
Stokes Capital Advisors
South Carolina
$3.03M +$586K +5,507 +20%
BCCM
690
Bridge Creek Capital Management
Massachusetts
$3.03M -$27.1K -255 -0.8%
ECM
691
Everence Capital Management
Indiana
$3.02M
CHC
692
City Holding Co
West Virginia
$3.01M +$152K +1,427 +4%
PAM
693
Palisade Asset Management
Minnesota
$3.01M -$70.3K -661 -2%
HWM
694
Holloway Wealth Management
Florida
$3M
APA
695
American Portfolios Advisors
New York
$2.95M -$162K -1,522 -4%
MA
696
Montag & Associates
Georgia
$2.9M -$371K -3,490 -10%
GCC
697
Game Creek Capital
Massachusetts
$2.89M +$1.09M +10,250 +47%
AIA
698
Affinity Investment Advisors
California
$2.88M +$3.4M +31,952 New
FCBT
699
First Citizens Bank & Trust
North Carolina
$2.87M -$111K -1,039 -3%
BA
700
Bristlecone Advisors
Washington
$2.85M -$198K -1,857 -6%