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Medtronic

Name Holding Trade Value Shares
Change
Change in
Stake
IRC
1076
Investors Research Corp
Georgia
$993K -$18K -223 -2%
CPW
1077
Cove Private Wealth
New York
$991K -$177K -2,198 -15%
MAM
1078
Milestone Asset Management
Pennsylvania
$989K +$1.02M +12,648 New
FPL
1079
Fortress Private Ledger
North Carolina
$988K +$204K +2,529 +25%
VAG
1080
VisionPoint Advisory Group
Texas
$987K -$2.08M -25,744 -67%
MHS
1081
M Holdings Securities
Oregon
$980K -$40.3K -499 -4%
CCM
1082
Chilton Capital Management
Texas
$976K +$66.2K +821 +7%
BO
1083
Bank OZK
Arkansas
$976K -$21.5K -266 -2%
BFG
1084
Beacon Financial Group
Texas
$974K +$20.4K +253 +2%
CAM
1085
Cidel Asset Management
Ontario, Canada
$974K +$80.7K +1,000 +9%
MWP
1086
Meriwether Wealth & Planning
Louisiana
$973K +$211K +2,617 +27%
CTFG
1087
Capstone Triton Financial Group
Oklahoma
$972K +$1M +12,428 New
SOAM
1088
SBI Okasan Asset Management
Japan
$971K – – –
VW
1089
Vance Wealth
California
$967K -$533K -6,604 -35%
ARA
1090
Alexander Randolph Advisory
Virginia
$966K -$17.5K -217 -2%
ASA
1091
Axxion S.A.
Luxembourg
$966K +$996K +12,346 New
WANY
1092
Wealthspire Advisors (New York)
New York
$964K +$193K +2,392 +24%
HIP
1093
HUB Investment Partners
Texas
$961K -$756K -9,369 -43%
CMI
1094
Clare Market Investments
Texas
$960K -$125K -1,550 -11%
FCFC
1095
First Commonwealth Financial Corp
Pennsylvania
$957K +$28.6K +355 +3%
AWA
1096
Aaron Wealth Advisors
Illinois
$956K -$158K -1,957 -14%
LCM
1097
Leisure Capital Management
California
$954K -$50.1K -621 -5%
LCM
1098
Logan Capital Management
Pennsylvania
$951K +$980K +12,153 New
TPA
1099
Trivium Point Advisory
Connecticut
$950K -$291K -3,613 -23%
SAM
1100
Sawgrass Asset Management
Florida
$948K -$295K -3,658 -23%