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Name Holding Trade Value Shares
Change
Change in
Stake
SC
726
Savant Capital
Illinois
$397K +$2.48K +51 +0.6%
ID
727
Integral Derivatives
New York
$395K +$401K +8,259 New
CL
728
CFS LLC
Oklahoma
$391K +$252K +5,193 +175%
CPA
729
Cowen Prime Advisors
New York
$389K +$54.5K +1,122 +16%
CCM
730
Catawba Capital Management
Virginia
$377K +$12K +247 +3%
BONST
731
Bank of Nova Scotia Trust
Ontario, Canada
$370K +$54.7K +1,127 +17%
MHS
732
M Holdings Securities
Oregon
$369K +$23K +474 +7%
MIC
733
MU Investments Company
Japan
$359K
PWW
734
Pettyjohn Wood & White
Virginia
$355K
TCM
735
Twin Capital Management
Pennsylvania
$355K
PRA
736
Parametric Risk Advisors
Connecticut
$353K +$70.9K +1,459 +25%
AACR
737
ACR Alpine Capital Research
Missouri
$349K
Jane Street
738
Jane Street
New York
$349K +$354K +7,287 New
GLI
739
Guardian Life Insurance
New York
$344K +$1.6K +33 +0.5%
PAS
740
Partnervest Advisory Services
California
$340K +$17.9K +368 +5%
JIC
741
Johnson Investment Counsel
Ohio
$340K +$112K +2,315 +48%
TCB
742
Texas Capital Bancshares
Texas
$335K +$37.5K +773 +12%
CCA
743
Checchi Capital Advisers
California
$335K +$87.6K +1,804 +35%
CAN
744
Cetera Advisor Networks
California
$334K +$28.8K +592 +9%
WTB
745
Washington Trust Bank
Washington
$333K +$1.21K +25 +0.4%
FMLI
746
Fukoku Mutual Life Insurance
Japan
$325K
MG
747
MDE Group
New Jersey
$324K -$38.7K -796 -11%
PFBT
748
Parkside Financial Bank & Trust
Missouri
$324K -$1.12K -23 -0.3%
PTC
749
Philadelphia Trust Company
Pennsylvania
$312K -$6.85K -141 -2%
ST
750
Smithfield Trust
Pennsylvania
$307K +$6.75K +139 +2%