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Medtronic

Name Holding Trade Value Shares
Change
Change in
Stake
BCMIO
1076
Beacon Capital Management Inc (Ohio)
Ohio
$269K -$109K -1,350 -30%
FCH
1077
Freestone Capital Holdings
Washington
$269K -$11.7K -145 -4%
CL
1078
CSS LLC
Illinois
$268K
TIM
1079
Thompson Investment Management
Wisconsin
$267K -$48.9K -605 -16%
FANJ
1080
Financial Architects (New Jersey)
New Jersey
$266K +$131K +1,614 +111%
CCG
1081
Cypress Capital Group
Florida
$263K +$245K +3,025 New
DAS
1082
Dynamic Advisor Solutions
Arizona
$261K -$8.49K -105 -3%
BO
1083
BRR OpCo
Ohio
$260K -$16.5K -204 -6%
NG
1084
Northstar Group
New York
$260K
RC
1085
RBF Capital
California
$260K
TCM
1086
Twin Capital Management
Pennsylvania
$260K
SGAM
1087
Steinberg Global Asset Management
Florida
$259K -$165K -2,046 -41%
Westfield Capital Management
1088
Westfield Capital Management
Massachusetts
$258K -$259K -3,200 -52%
BFM
1089
Boothbay Fund Management
New York
$258K -$55.6K -687 -19%
NCM
1090
Northside Capital Management
Oregon
$258K
BST
1091
Bath Savings Trust
Maine
$257K -$56.6K -700 -19%
HHGA
1092
Halbert Hargrove Global Advisors
California
$257K -$32.7K -404 -12%
WPC
1093
White Pine Capital
Minnesota
$254K -$8.09K -100 -3%
RCM
1094
RNC Capital Management
California
$254K
FI
1095
FormulaFolio Investments
Michigan
$253K -$7.76K -96 -3%
CL
1096
CIM LLC
New York
$249K
IWMPD
1097
Integrated Wealth Management (Palm Desert)
California
$247K -$109K -1,345 -32%
SFG
1098
SNS Financial Group
Minnesota
$247K +$8.09K +100 +4%
VFS
1099
VSR Financial Services
Kansas
$243K -$815K -10,077 -78%
DSAM
1100
Dock Street Asset Management
Florida
$243K