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Medtronic

Name Holding Trade Value Shares
Change
Change in
Stake
WT
876
Whittier Trust
California
$463K
MA
877
Montag & Associates
Georgia
$462K -$19.1K -300 -4%
HCC
878
Hirtle Callaghan & Co
Pennsylvania
$458K -$318 -5 -0.1%
Verition Fund Management
879
Verition Fund Management
Connecticut
$458K +$120K +1,886 +34%
MCM
880
Manchester Capital Management
Vermont
$451K +$8.33K +131 +2%
CWM
881
Concert Wealth Management
California
$450K -$12.1K -191 -3%
PFSC
882
Peoples Financial Services Corp
Pennsylvania
$446K -$127K -2,000 -22%
RW
883
Rand Wealth
Maryland
$446K -$25.4K -400 -5%
HTC
884
Haverford Trust Company
Pennsylvania
$446K +$25.4K +400 +6%
BOTW
885
Bank of the West
California
$443K -$86.3K -1,358 -16%
CIM
886
CenturyLink Investment Management
Colorado
$442K -$45.7K -719 -9%
BB
887
Bell Bank
North Dakota
$442K -$24.7K -388 -5%
TCM
888
Twin Capital Management
Pennsylvania
$440K
BA
889
Boston Advisors
Massachusetts
$440K +$38.1K +600 +9%
AF
890
Allworth Financial
California
$439K -$106K -1,665 -19%
BCAM
891
Boston Common Asset Management
Massachusetts
$438K -$10.5K -165 -2%
MAA
892
Mraz Amerine & Associates
California
$433K +$6.74K +106 +2%
SC
893
SouthState Corp
Florida
$432K -$3.81K -60 -0.9%
SMC
894
Smith, Moore & Co
Missouri
$432K +$444K +6,980 New
MFS
895
MSI Financial Services
Massachusetts
$431K +$121K +1,897 +38%
GIS
896
Guardian Investor Services
New York
$430K -$31.6K -497 -7%
IH
897
IFC Holdings
Florida
$428K +$43.3K +681 +11%
DBG
898
De Burlo Group
Massachusetts
$427K
AIM
899
Aspen Investment Management
Michigan
$426K -$107K -1,690 -20%
GLRA
900
Gerald L. Ray & Associates
Texas
$425K +$14.3K +225 +3%