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Micron Technology

Name Holding Trade Value Shares
Change
Change in
Stake
AMM
626
American Money Management
California
$616K +$564K +11,958 New
BRWA
627
B. Riley Wealth Advisors
Florida
$610K -$102K -2,159 -15%
AFM
628
Abbot Financial Management
Massachusetts
$608K -$4.71K -100 -0.8%
AIMCA
629
Alberta Investment Management Corp (AIMCo)
Alberta, Canada
$598K +$547K +11,600 New
DC
630
Davenport & Co
Virginia
$591K -$63.7K -1,350 -11%
BOTW
631
Bank of the West
California
$586K -$133K -2,830 -20%
FHA
632
First Horizon Advisors
Tennessee
$586K +$4.29K +91 +0.8%
SIAS
633
Shine Investment Advisory Services
Colorado
$584K -$9.1K -193 -2%
WC
634
Weil Company
California
$581K +$155K +3,295 +41%
IFG
635
Independent Financial Group
California
$578K -$46.2K -980 -8%
DCM
636
Driehaus Capital Management
Illinois
$578K -$8.53K -181 -2%
IIM
637
Ipswich Investment Management
Massachusetts
$566K -$4.71K -100 -0.9%
LB
638
Legacy Bridge
Iowa
$563K +$14.1K +300 +3%
CAM
639
Cresset Asset Management
Illinois
$560K -$496K -10,521 -49%
CA
640
Calton & Associates
Florida
$558K +$14.8K +314 +3%
MS
641
Maven Securities
Jersey
$556K +$104K +2,198 +26%
AIC
642
Ameritas Investment Company
Nebraska
$550K +$452K +9,591 +877%
SC
643
SRB Corp
Massachusetts
$549K +$66.1K +1,402 +15%
EH
644
Equitable Holdings
New York
$546K -$910K -19,307 -65%
CIS
645
Capital International Sarl
California
$542K +$68.9K +1,461 +16%
CG
646
Caprock Group
Idaho
$535K +$1.98K +42 +0.4%
CQS
647
Credential Qtrade Securities
$533K +$111K +2,360 +30%
PPP
648
Private Portfolio Partners
New Jersey
$532K -$9.48K -201 -2%
FIB
649
First Interstate Bank
Montana
$531K -$23.6K -500 -5%
NIMC
650
NWQ Investment Management Company
California
$530K