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Medtronic

Name Holding Trade Value Shares
Change
Change in
Stake
BO
1076
BRR OpCo
Ohio
$240K -$21.2K -282 -8%
MCM
1077
MV Capital Management
Maryland
$240K +$53.9K +716 +29%
KL
1078
KWMG LLC
Kansas
$238K
MCM
1079
Marathon Capital Management
Maryland
$238K +$26.4K +350 +12%
QCG
1080
Quadrant Capital Group
Ohio
$238K +$27.1K +360 +12%
RWA
1081
Ropes Wealth Advisors
Massachusetts
$235K +$3.99K +53 +2%
IWA
1082
Inspirion Wealth Advisors
Illinois
$234K +$1.36K +18 +0.6%
DAS
1083
Dynamic Advisor Solutions
Arizona
$233K +$15.1K +200 +7%
PFS
1084
Prospera Financial Services
Texas
$233K +$234K +3,102 New
CL
1085
CSS LLC
Illinois
$232K
WA
1086
WBH Advisory
Maryland
$231K +$75 +1 +0%
HB
1087
Homrich & Berg
Georgia
$229K -$12.1K -160 -5%
WPC
1088
White Pine Capital
Minnesota
$227K
FI
1089
FormulaFolio Investments
Michigan
$226K +$227K +3,009 New
TCM
1090
Twin Capital Management
Pennsylvania
$225K -$825K -10,960 -79%
RC
1091
RBF Capital
California
$225K -$226K -3,000 -50%
NG
1092
Northstar Group
New York
$225K
BL
1093
Balentine LLC
Georgia
$224K -$10.8K -144 -5%
NCM
1094
Northside Capital Management
Oregon
$223K -$4.9K -65 -2%
RCM
1095
RNC Capital Management
California
$220K -$27.8K -369 -11%
BAC
1096
Boys Arnold & Co
North Carolina
$219K -$1.43M -19,013 -87%
BDF
1097
Balasa Dinverno & Foltz
$219K +$220K +2,919 New
GC
1098
Grimes & Company
Massachusetts
$217K -$157K -2,090 -42%
CM
1099
Castleark Management
Illinois
$216K
CB
1100
Chemical Bank
Michigan
$215K -$28.6K -380 -12%