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Medtronic

Name Holding Trade Value Shares
Change
Change in
Stake
HPC
1276
HM Payson & Co
Maine
-$1.18M -15,309 Closed
SFP
1277
Santa Fe Partners
New Mexico
-$1.13M -14,715 Closed
NERM
1278
New England Research & Management
Illinois
-$1.06M -13,810 Closed
Group One Trading
1279
Group One Trading
Illinois
-$879K -11,666 Closed
SS
1280
Simplicity Solutions
Minnesota
-$749K -9,743 Closed
FP
1281
FDO Partners
Massachusetts
-$645K -8,390 Closed
BCM
1282
Bluefin Capital Management
New York
-$627K -8,155 Closed
PL
1283
Plancorp LLC
Missouri
-$601K -7,810 Closed
QCMC
1284
Quantum Capital Management (California)
California
-$554K -7,202 Closed
TH
1285
Timber Hill
Connecticut
-$491K -6,524 Closed
CP
1286
Camelot Portfolios
Ohio
-$495K -6,435 Closed
OPCM
1287
Osborne Partners Capital Management
California
-$486K -6,313 Closed
CCS
1288
Crosspoint Capital Strategies
California
-$344K -4,754 Closed
FMT
1289
First Mercantile Trust
Tennessee
-$322K -4,198 Closed
MIG
1290
Mariner Investment Group
New York
-$308K -4,000 Closed
CAM
1291
ClariVest Asset Management
California
-$301K -3,911 Closed
CCM
1292
Carlson Capital Management
Minnesota
-$293K -3,806 Closed
CCG
1293
Cypress Capital Group
Florida
-$290K -3,764 Closed
SSG
1294
Summit Securities Group
New York
-$285K -3,710 Closed
FRM
1295
Fox Run Management
Connecticut
-$285K -3,700 Closed
CNC
1296
Citizens & Northern Corp
Pennsylvania
-$283K -3,682 Closed
YIA
1297
YHB Investment Advisors
Connecticut
-$278K -3,620 Closed
BCM
1298
Bayesian Capital Management
New York
-$265K -3,440 Closed
PP
1299
Pegasus Partners
Wisconsin
-$265K -3,439 Closed
RC
1300
Randolph Company
Ohio
-$263K -3,417 Closed