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Marvell Technology

Name Holding Trade Value Shares
Change
Change in
Stake
PWM
651
Perigon Wealth Management
California
$304K -$266K -3,691 -47%
CAMG
652
CWA Asset Management Group
Florida
$302K +$11.7K +162 +4%
GA
653
GraniteShares Advisors
New York
$301K +$19.7K +274 +7%
CT
654
Chicago Trust
Illinois
$300K +$130K +1,800 +75%
VWA
655
Visionary Wealth Advisors
Illinois
$298K +$107K +1,490 +56%
SC
656
Solstein Capital
California
$298K +$293K +4,060 +4,186%
PCIA
657
Prime Capital Investment Advisors
Kansas
$296K
WPC
658
Wedmont Private Capital
Pennsylvania
$296K +$292K +4,054 New
RIA
659
Regal Investment Advisors
Michigan
$293K -$27.4K -380 -9%
JAM
660
Jupiter Asset Management
United Kingdom
$292K -$287K -3,984 -49%
TPWA
661
TRUE Private Wealth Advisors
Oregon
$292K -$29.5K -409 -8%
CCM
662
CAAS Capital Management
New York
$292K +$293K +4,065 New
SI
663
Stephens Inc
Arkansas
$290K +$292K +4,051 New
TF
664
Trek Financial
Arizona
$288K +$1.66K +23 +0.6%
MFA
665
Mayflower Financial Advisors
Massachusetts
$288K +$51.5K +715 +22%
RHBC
666
R.H. Bluestein & Co
Michigan
$287K
MWC
667
MBM Wealth Consultants
Missouri
$287K +$288K +4,000 New
ECG
668
Edge Capital Group
Georgia
$285K -$18K -250 -6%
DAS
669
Dynamic Advisor Solutions
Arizona
$282K +$92.9K +1,290 +49%
FRM
670
Fox Run Management
Connecticut
$282K +$283K +3,933 New
SS
671
Sunbelt Securities
Texas
$280K -$36.1K -501 -12%
PSP
672
Principal Street Partners
Tennessee
$280K +$281K +3,905 New
BC
673
Burney Company
Virginia
$278K +$279K +3,879 New
MHS
674
M Holdings Securities
Oregon
$277K +$278K +3,859 New
CA
675
Calton & Associates
Florida
$275K +$44.8K +622 +19%