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Medtronic

Name Holding Trade Value Shares
Change
Change in
Stake
BDS
851
Banco de Sabadell
Florida
$2.35M +$140K +1,568 +6%
YIH
852
Y-Intercept (HK)
Hong Kong
$2.34M +$2.33M +26,053 New
RA
853
RFG Advisory
Alabama
$2.33M +$133K +1,482 +6%
CFD
854
Creative Financial Designs
Indiana
$2.33M +$121K +1,347 +5%
BWG
855
Berry Wealth Group
Texas
$2.32M -$122K -1,360 -5%
ATPW
856
Ashton Thomas Private Wealth
Arizona
$2.31M +$259K +2,895 +13%
TC
857
TwinBeech Capital
New York
$2.3M -$47.9M -535,791 -95%
EWM
858
Evercore Wealth Management
New York
$2.29M -$83.2K -930 -4%
DCM
859
Delta Capital Management
New Jersey
$2.28M -$77.4K -865 -3%
TCM
860
Twin Capital Management
Pennsylvania
$2.28M -$41.3K -461 -2%
FCH
861
Freestone Capital Holdings
Washington
$2.26M -$9.04K -101 -0.4%
HAG
862
HighPoint Advisor Group
Illinois
$2.26M +$65.8K +735 +3%
SCM
863
Suvretta Capital Management
New York
$2.25M +$680K +7,600 +44%
DAS
864
Diversify Advisory Services
Utah
$2.24M -$556K -6,216 -19%
HI
865
Horizon Investments
North Carolina
$2.24M +$85.5K +956 +4%
CNFG
866
Creegan & Nassoura Financial Group
New Hampshire
$2.23M
VI
867
Vestcor Inc
New Brunswick, Canada
$2.23M +$4.47K +50 +0.2%
LOAMS
868
Lombard Odier Asset Management (Switzerland)
Switzerland
$2.22M -$1.02M -11,426 -32%
LA
869
LVW Advisors
New York
$2.21M +$438K +4,892 +25%
ZF
870
Zhang Financial
Michigan
$2.21M +$2.2M +24,569 New
ACM
871
Aurdan Capital Management
Pennsylvania
$2.2M -$1.41M -15,812 -39%
VW
872
Vance Wealth
California
$2.19M -$438K -4,899 -17%
SIAG
873
Signet Investment Advisory Group
Rhode Island
$2.19M +$213K +2,385 +11%
VCA
874
Verdence Capital Advisors
Maryland
$2.17M +$1.15M +12,877 +115%
NWM
875
Northcape Wealth Management
New York
$2.15M +$7.43K +83 +0.3%