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Medtronic

Name Holding Trade Value Shares
Change
Change in
Stake
SIM
1026
SSI Investment Management
California
$280K
PWMAG
1027
Pinnacle Wealth Management Advisory Group
New Jersey
$277K -$88.1K -1,196 -22%
GHAM
1028
Gilman Hill Asset Management
Connecticut
$276K +$31.2K +424 +11%
CCT
1029
Chemung Canal Trust
New York
$275K -$88.4K -1,200 -23%
CB
1030
Chemical Bank
Michigan
$274K
PAMG
1031
Patton Albertson Miller Group
Tennessee
$273K -$170K -2,312 -36%
TCOTO
1032
Trust Company of the Ozarks
Missouri
$271K -$6.63K -90 -2%
ACM
1033
Apex Capital Management
Ohio
$271K -$1.55K -21 -0.5%
PWM
1034
Perigon Wealth Management
California
$271K
CPA
1035
Court Place Advisors
Maryland
$270K
LYV
1036
Live Your Vision
Pennsylvania
$270K
TAM
1037
Tocqueville Asset Management
New York
$269K -$17.8K -242 -6%
DAM
1038
Delta Asset Management
Tennessee
$269K -$1.1K -15 -0.4%
TIM
1039
Thompson Investment Management
Wisconsin
$268K +$17K +231 +6%
EWM
1040
Empirical Wealth Management
Washington
$268K +$295K +4,010 New
CNC
1041
Citizens & Northern Corp
Pennsylvania
$267K -$364K -4,937 -55%
SAMC
1042
Shinko Asset Management Company
Japan
$266K -$13.3K -181 -4%
FGA
1043
Flood Gamble Associates
New York
$265K
IFB
1044
iAB Financial Bank
Indiana
$261K -$11K -150 -4%
BA
1045
Boston Advisors
Massachusetts
$260K -$176K -2,386 -38%
PHS
1046
Pekin Hardy Strauss
Illinois
$259K
YIA
1047
YHB Investment Advisors
Connecticut
$257K -$11K -150 -4%
CPS
1048
Counsel Portfolio Services
Ontario, Canada
$254K
QCG
1049
Quadrant Capital Group
Ohio
$253K -$101K -1,368 -26%
BO
1050
BRR OpCo
Ohio
$253K +$30.1K +408 +12%