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Medtronic

Name Holding Trade Value Shares
Change
Change in
Stake
NG
1301
Northstar Group
New York
$534K +$439 +4 +0.1%
DC
1302
DeDora Capital
California
$533K +$221K +2,014 +75%
DLA
1303
Douglas Lane & Associates
New York
$531K +$14.4K +131 +3%
NSAM
1304
North Star Asset Management
Wisconsin
$530K +$8.78K +80 +2%
JFGIW
1305
Johnson Financial Group Inc (Wisconsin)
Wisconsin
$530K +$439K +4,003 +597%
LC
1306
LCNB Corp
Ohio
$528K
SAM
1307
Security Asset Management
New York
$528K
BFG
1308
Beacon Financial Group
Texas
$527K
CBN
1309
Cadence Bank NA
Texas
$527K +$12.6K +115 +3%
VPI
1310
Value Partners Investments
Manitoba, Canada
$526K +$509K +4,635 New
DHFB
1311
Dixon Hubard Feinour & Brown
Virginia
$521K +$21.4K +195 +4%
MG
1312
Mather Group
Illinois
$520K +$503K +4,580 New
CBU
1313
CIBC Bank USA
Illinois
$518K +$1.86K +17 +0.4%
JSL
1314
JT Stratford LLC
Georgia
$517K -$144K -1,316 -22%
WI
1315
WrapManager Inc
California
$515K -$30.2K -275 -6%
BS
1316
Bessemer Securities
New York
$511K
CST
1317
Charles Schwab Trust
Nevada
$511K +$213K +1,940 +76%
MA
1318
MANA Advisors
New York
$511K +$494K +4,500 New
HCM
1319
Hall Capital Management
Rhode Island
$509K +$17.6K +160 +4%
HPCM
1320
High Pointe Capital Management
Illinois
$507K -$604K -5,500 -55%
SCM
1321
SOL Capital Management
Maryland
$507K -$64.1K -584 -12%
TF
1322
Tompkins Financial
New York
$507K +$12.3K +112 +3%
SSW
1323
Smith Shellnut Wilson
Mississippi
$506K +$24.6K +224 +5%
FNFDCM
1324
Folger Nolan Fleming Douglas Capital Management
District of Columbia
$505K +$1.1K +10 +0.2%
PP
1325
Patten & Patten
Tennessee
$505K +$18.7K +170 +4%