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Micron Technology

Name Holding Trade Value Shares
Change
Change in
Stake
MFWP
676
Mosaic Family Wealth Partners
Missouri
$777K +$293 +5 +0%
MC
677
Maverick Capital
Texas
$770K +$286K +4,881 +62%
BI
678
Ballast Inc
Kentucky
$766K +$34.6K +590 +5%
CSB
679
City State Bank
Iowa
$763K -$21.7K -370 -3%
SP
680
Symmetry Partners
Connecticut
$761K
SM
681
STF Management
Texas
$757K +$313K +5,333 +74%
TAM
682
Trust Asset Management
Texas
$757K -$7.38K -126 -1%
DGAM
683
Desjardins Global Asset Management
Quebec, Canada
$753K +$160K +2,729 +28%
CGL
684
Clarius Group LLC
Washington
$753K +$3.75K +64 +0.5%
OC
685
Oakworth Capital
Alabama
$750K
SFM
686
Spartan Fund Management
Canada
$741K
RRA
687
Round Rock Advisors
Connecticut
$738K -$43.9K -750 -6%
LB
688
Legacy Bridge
Iowa
$734K
CQS
689
Credential Qtrade Securities
$730K +$240K +4,090 +51%
FFM
690
Forum Financial Management
Illinois
$728K +$38.3K +654 +6%
LWAM
691
Legacy Wealth Asset Management
Minnesota
$727K -$1.99K -34 -0.3%
PA
692
PSI Advisors
Florida
$722K +$19.5K +332 +3%
PI
693
PFG Investments
New York
$722K +$701K +11,960 New
CCM
694
Coldstream Capital Management
Washington
$720K +$27K +460 +4%
IAS
695
Insigneo Advisory Services
Florida
$715K +$4.92K +84 +0.7%
FCP
696
Fidelis Capital Partners
Florida
$715K +$684K +11,676 New
PA
697
Parallel Advisors
California
$713K -$327K -5,584 -32%
AG
698
Advocate Group
Minnesota
$711K +$256K +4,368 +59%
EIP
699
Ellis Investment Partners
Pennsylvania
$704K -$69.6K -1,187 -9%
NAS
700
Nicolet Advisory Services
Wisconsin
$699K +$700K +11,944 New