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Medtronic

Name Holding Trade Value Shares
Change
Change in
Stake
TG
1301
TLP Group
Illinois
-$623K -8,300 Closed
SMH
1302
Sanders Morris Harris
Texas
-$528K -7,040 Closed
HCA
1303
Harbour Capital Advisors
Virginia
-$522K -6,963 Closed
FBT
1304
First Bankers Trust
Kentucky
-$521K -6,947 Closed
DTL
1305
Dynamic Technology Lab
Singapore
-$517K -6,900 Closed
QOP
1306
Quinn Opportunity Partners
Virginia
-$465K -6,200 Closed
FTC
1307
Farmers Trust Company
Ohio
-$433K -5,761 Closed
ATC
1308
Argent Trust Co
Tennessee
-$331K -4,412 Closed
NL
1309
NWAM LLC
Washington
-$268K -3,570 Closed
CAAS
1310
Capital Asset Advisory Services
Michigan
-$265K -3,538 Closed
SFSIG
1311
San Francisco Sentry Investment Group
California
-$241K -3,223 Closed
MCM
1312
Marathon Capital Management
Maryland
-$238K -3,178 Closed
GC
1313
Grimes & Company
Massachusetts
-$217K -2,887 Closed
WSTAM
1314
Wilbanks Smith & Thomas Asset Management
Virginia
-$212K -2,832 Closed
MBT
1315
Montecito Bank & Trust
California
-$203K -2,707 Closed
GS
1316
Girard Securities
California
-$202K -2,698 Closed
SFM
1317
Signet Financial Management
New Jersey
-$202K -2,697 Closed
BWM
1318
Braver Wealth Management
Massachusetts
-$202K -2,687 Closed
WIC
1319
Woodmont Investment Counsel
Tennessee
-$173K -2,304 Closed
DLHL
1320
Donald L. Hagan LLC
Florida
-$112K -1,495 Closed
BCM
1321
Blume Capital Management
California
-$45K -600 Closed
ED
1322
Exane Derivatives
France
-$38.6K -515 Closed
UFA
1323
US Financial Advisors
Massachusetts
-$23K -313 Closed
ACM
1324
Armbruster Capital Management
New York
-$13K -170 Closed
PHK
1325
Point72 Hong Kong
Hong Kong
-$8K -100 Closed