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Motorola Solutions

Name Holding Trade Value Shares
Change
Change in
Stake
BTI
626
Blue Trust Inc
Georgia
$706K +$176K +534 +37%
BB
627
Bell Bank
North Dakota
$705K -$55K -167 -8%
AC
628
AXQ Capital
New Jersey
$700K +$649K +1,973 New
LHC
629
Little House Capital
Massachusetts
$698K +$647K +1,965 New
TAM
630
Trust Asset Management
Texas
$689K
CT
631
ClearAlpha Technologies
Connecticut
$688K -$905K -2,748 -59%
VVP
632
Venture Visionary Partners
Ohio
$684K
WI
633
WBI Investments
New Jersey
$672K +$357K +1,084 +134%
CPCM
634
Cardinal Point Capital Management
Ontario, Canada
$669K
OFA
635
Oak Family Advisors
Illinois
$669K
RCA
636
Roberts Capital Advisors
Colorado
$668K +$620K +1,883 New
SPA
637
Sherbrooke Park Advisers
New York
$663K -$1.32M -4,011 -68%
QCG
638
Quadrant Capital Group
Ohio
$662K -$8.89K -27 -1%
VAF
639
Values Added Financial
District of Columbia
$649K
WHC
640
Wulff, Hansen & Co
California
$640K
NIMI
641
Natixis Investment Managers International
France
$639K -$19.8K -60 -3%
HIM
642
Hillsdale Investment Management
Ontario, Canada
$639K +$593K +1,800 New
ACM
643
Argyle Capital Management
Pennsylvania
$632K
SPWG
644
Sage Private Wealth Group
Illinois
$625K +$185K +562 +47%
FFP
645
FourThought Financial Partners
Florida
$623K +$250K +758 +76%
AWA
646
Arkadios Wealth Advisors
Georgia
$623K -$3.95K -12 -0.7%
AWM
647
Axxcess Wealth Management
California
$621K -$167K -506 -22%
CFG
648
Citizens Financial Group
Rhode Island
$620K +$197K +599 +52%
ACA
649
Aptus Capital Advisors
Alabama
$619K +$72.1K +219 +14%
CI
650
Cigna Investments
Connecticut
$617K -$11.5K -35 -2%