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Medtronic

Name Holding Trade Value Shares
Change
Change in
Stake
PV
1326
Private Vista
Illinois
$263K -$48.5K -542 -16%
WSC
1327
Wellington Shields & Co
New York
$263K -$44.8K -500 -15%
FAIM
1328
Financial Advocates Investment Management
Washington
$263K -$5.64K -63 -2%
VCM
1329
Vigilant Capital Management
Maine
$262K -$179 -2 -0.1%
DAM
1330
Delta Asset Management
Tennessee
$261K
MCM
1331
MV Capital Management
Maryland
$261K +$25.4K +284 +11%
TPWA
1332
TRUE Private Wealth Advisors
Oregon
$259K -$441K -4,931 -63%
CAL
1333
Capital Advisors Ltd
Ohio
$258K
OC
1334
Oakworth Capital
Alabama
$254K
JA
1335
JOYN Advisors
Georgia
$253K -$32.7K -365 -12%
PIM
1336
Profit Investment Management
Maryland
$252K
WPP
1337
Whalerock Point Partners
Rhode Island
$252K +$247K +2,765 New
SMFS
1338
Squar Milner Financial Services
California
$250K +$24.6K +275 +11%
WP
1339
WMS Partners
Maryland
$248K +$24.8K +277 +11%
SAM
1340
SP Asset Management
California
$247K +$253K +2,826 New
FEM
1341
Fulcrum Equity Management
Texas
$246K
WLIM
1342
White Lighthouse Investment Management
Massachusetts
$246K
WIP
1343
Wellesley Investment Partners
Massachusetts
$244K +$10.9K +122 +5%
GIM
1344
Goelzer Investment Management
Indiana
$244K +$240K +2,682 New
CCFCSB
1345
Cape Cod Five Cents Savings Bank
Massachusetts
$243K -$90.6K -1,012 -27%
NP
1346
NorthRock Partners
Minnesota
$243K -$61.8K -690 -21%
HH
1347
Hilltop Holdings
Texas
$243K -$50.5K -564 -17%
CWS
1348
Cypress Wealth Services
California
$243K -$7.16K -80 -3%
LPT
1349
Legacy Private Trust
Wisconsin
$242K -$11.5K -128 -5%
GWS
1350
Glassman Wealth Services
Virginia
$242K +$33.6K +375 +16%