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Medtronic

Name Holding Trade Value Shares
Change
Change in
Stake
AC
1076
Abbrea Capital
California
$244K +$269K +3,424 New
AWM
1077
Altavista Wealth Management
North Carolina
$241K -$41.8K -532 -14%
BL
1078
Balentine LLC
Georgia
$241K -$8.64K -110 -3%
QSS
1079
Quantitative Systematic Strategies
Florida
$238K +$262K +3,329 New
FPB
1080
First PREMIER Bank
South Dakota
$237K -$51.5K -655 -16%
PAS
1081
Park Avenue Securities
New York
$235K +$23.4K +298 +10%
IPAM
1082
ICICI Prudential Asset Management
India
$235K +$259K +3,300 New
YIA
1083
YHB Investment Advisors
Connecticut
$233K -$15.6K -198 -6%
PM
1084
Parametrica Management
Hong Kong
$232K +$256K +3,261 New
GT
1085
Greenleaf Trust
Michigan
$231K +$56.4K +718 +28%
NPF
1086
Norris Perne & French
Michigan
$230K -$7.86K -100 -3%
ACP
1087
Arcus Capital Partners
Georgia
$230K
BMO
1088
Beck Mack & Oliver
New York
$230K
SWK
1089
Stephen W. Kidder
$229K
DAC
1090
Dividend Assets Capital
South Carolina
$228K -$49.1K -625 -16%
MWP
1091
MYCIO Wealth Partners
Pennsylvania
$228K +$17.6K +224 +8%
WSTAM
1092
Wilbanks Smith & Thomas Asset Management
Virginia
$228K +$251K +3,199 New
WI
1093
Wintrust Investments
Illinois
$228K +$252K +3,204 New
PA
1094
Parallel Advisors
California
$227K +$250K +3,187 New
BIM
1095
Beach Investment Management
Pennsylvania
$225K -$1.43M -18,220 -85%
BST
1096
Bath Savings Trust
Maine
$223K -$23.6K -300 -9%
DAS
1097
Dynamic Advisor Solutions
Arizona
$223K +$10.1K +128 +4%
KI
1098
Koch Industries
Kansas
$222K +$245K +3,118 New
BFC
1099
Blue Fin Capital
Rhode Island
$222K +$246K +3,126 New
CL
1100
CSS LLC
Illinois
$220K