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Medtronic

Name Holding Trade Value Shares
Change
Change in
Stake
ACI
1326
Alpha Cubed Investments
California
$242K -$118K -1,265 -32%
BCWM
1327
Bartlett & Co Wealth Management
Ohio
$240K
MC
1328
Miles Capital
Iowa
$240K +$7.29K +78 +3%
BC
1329
Bartlett & Co
Ohio
$239K
FHC
1330
First Heartland Consultants
Missouri
$239K +$5.33K +57 +2%
CHA
1331
Cooper/Haims Advisors
New York
$235K
MCM
1332
MV Capital Management
Maryland
$235K +$21.5K +230 +10%
BAMCO Inc
1333
BAMCO Inc
New York
$234K -$13.7K -147 -5%
WIP
1334
Wellesley Investment Partners
Massachusetts
$233K -$6.82K -73 -3%
BPWA
1335
Beacon Pointe Wealth Advisors
California
$233K +$239K +2,561 New
QT
1336
Quantamental Technologies
New York
$232K +$239K +2,553 New
RPC
1337
Rossmore Private Capital
Connecticut
$231K +$9.35K +100 +4%
PWP
1338
Personal Wealth Partners
Minnesota
$231K +$237K +2,541 New
1IA
1339
1834 Investment Advisors
Wisconsin
$229K
CPIG
1340
Chicago Partners Investment Group
Illinois
$229K
SC
1341
Searle & Co
Connecticut
$229K
FCB
1342
First Command Bank
Texas
$229K +$185K +1,979 +370%
FCFS
1343
First Command Financial Services
Texas
$229K +$185K +1,979 +370%
PBO
1344
Peoples Bank (Ohio)
Ohio
$227K +$9.35K +100 +4%
LCM
1345
Landscape Capital Management
New Jersey
$227K +$233K +2,497 New
BHIA
1346
Birch Hill Investment Advisors
Massachusetts
$226K
SMFS
1347
Squar Milner Financial Services
California
$225K +$4.58K +49 +2%
AIM
1348
Advantage Investment Management
Iowa
$224K +$45.8K +490 +25%
AOWM
1349
Alpha Omega Wealth Management
Virginia
$223K
WP
1350
WMS Partners
Maryland
$222K -$156K -1,674 -41%