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Micron Technology

Name Holding Trade Value Shares
Change
Change in
Stake
NICM
1326
Neo Ivy Capital Management
New York
-$304K -5,516 Closed
OFG
1327
OmniStar Financial Group
North Carolina
-$296K -5,364 Closed
VVP
1328
Venture Visionary Partners
Ohio
-$291K -5,273 Closed
B
1329
Bailard
California
-$279K -5,055 Closed
RIL
1330
Rothschild Investment LLC
Illinois
-$265K -4,790 Closed
CT
1331
Chicago Trust
Illinois
-$257K -4,653 Closed
TCM
1332
Traynor Capital Management
Pennsylvania
-$255K -4,613 Closed
WA
1333
WESPAC Advisors
California
-$255K -4,606 Closed
CAP
1334
Columbia Advisory Partners
Washington
-$254K -4,587 Closed
SC
1335
Shay Capital
New York
-$249K -4,500 Closed
DSAM
1336
Dock Street Asset Management
Florida
-$243K -4,401 Closed
GA
1337
GraniteShares Advisors
New York
-$242K -4,383 Closed
EAM
1338
Evanson Asset Management
California
-$231K -4,175 Closed
MOS
1339
MGO One Seven
Ohio
-$230K -4,157 Closed
LIM
1340
Leavell Investment Management
Alabama
-$227K -4,100 Closed
MPCG
1341
Matrix Private Capital Group
New York
-$226K -4,093 Closed
NCM
1342
NCM Capital Management
New Jersey
-$226K -4,093 Closed
WAM
1343
Watershed Asset Management
California
-$223K -4,041 Closed
CWM
1344
Circle Wealth Management
New Jersey
-$222K -4,008 Closed
WAOTB
1345
Wealth Advisors of Tampa Bay
Florida
-$221K -4,000 Closed
PCA
1346
Personal Capital Advisors
California
-$220K -3,982 Closed
ACG
1347
Allen Capital Group
Nebraska
-$218K -3,952 Closed
FC
1348
Forte Capital
New York
-$218K -3,940 Closed
HWM
1349
HB Wealth Management
Georgia
-$217K -3,922 Closed
PNC
1350
Park National Corp
Ohio
-$216K -3,914 Closed