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Medtronic

Name Holding Trade Value Shares
Change
Change in
Stake
RCM
1076
RNC Capital Management
California
$254K -$1.81K -24 -0.7%
MAM
1077
Meeder Asset Management
Ohio
$254K +$113K +1,507 +84%
QI
1078
Quotient Investors
New York
$252K
DIA
1079
Davidson Investment Advisors
Montana
$251K
CB
1080
Chemical Bank
Michigan
$250K -$63.3K -841 -21%
TCB
1081
Texas Capital Bancshares
Texas
$249K -$287K -3,810 -54%
AW
1082
ACG Wealth
Georgia
$249K -$9.56K -127 -4%
BMO
1083
Beck Mack & Oliver
New York
$248K -$280K -3,724 -54%
SFSIG
1084
San Francisco Sentry Investment Group
California
$248K
ACP
1085
Arcus Capital Partners
Georgia
$248K +$243K +3,224 New
HB
1086
Homrich & Berg
Georgia
$247K -$42.9K -570 -15%
Tudor Investment Corp
1087
Tudor Investment Corp
Connecticut
$246K -$11.2M -148,500 -98%
KL
1088
KWMG LLC
Kansas
$244K -$3.91K -52 -2%
FCH
1089
Freestone Capital Holdings
Washington
$244K +$239K +3,173 New
BL
1090
Balentine LLC
Georgia
$241K +$1.35K +18 +0.6%
HT
1091
HighTower Trust
Texas
$240K +$235K +3,124 New
IWA
1092
Inspirion Wealth Advisors
Illinois
$239K
CL
1093
CSS LLC
Illinois
$238K
RWA
1094
Ropes Wealth Advisors
Massachusetts
$237K +$187K +2,482 +416%
WA
1095
WBH Advisory
Maryland
$236K -$16.7K -222 -7%
GS
1096
Girard Securities
California
$236K +$230K +3,054 New
NCM
1097
Northside Capital Management
Oregon
$234K -$3.14M -41,662 -93%
CIS
1098
Connors Investor Services
Pennsylvania
$234K +$69.3K +920 New
WPC
1099
White Pine Capital
Minnesota
$233K -$53.9K -716 -19%
NG
1100
Northstar Group
New York
$231K