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Novartis

Name Holding Trade Value Shares
Change
Change in
Stake
HCC
626
Hirtle Callaghan & Co
Pennsylvania
$593K +$185K +2,232 +45%
BAS
627
Brown Advisory Securities
Maryland
$592K +$12.1K +146 +2%
CIP
628
Convergence Investment Partners
Florida
$587K -$7.54K -91 -1%
SIC
629
Shoker Investment Counsel
Ohio
$587K +$52.9K +638 +10%
AMIM
630
Aull & Monroe Investment Management
Alabama
$584K -$32.3K -390 -5%
CI
631
CAZ Investments
Texas
$584K +$583K +7,031 New
CIC
632
Chilton Investment Company
Connecticut
$581K +$116K +1,395 +25%
FNB
633
Farmers National Bank
Kentucky
$575K +$574K +6,925 New
CP
634
Camelot Portfolios
Ohio
$574K +$5.39K +65 +0.9%
CIS
635
Connors Investor Services
Pennsylvania
$564K -$18.5K -223 -3%
FLAM
636
First Light Asset Management
Minnesota
$562K
CK
637
Cohen Klingenstein
New York
$556K
SFSIG
638
San Francisco Sentry Investment Group
California
$556K
RA
639
Rational Advisors
New York
$556K +$555K +6,696 New
MCA
640
Mercer Capital Advisers
New Jersey
$555K +$554K +6,685 New
LBC
641
Lawrence B. Cohen
$544K +$157K +1,897 +41%
PAM
642
Princeton Alpha Management
New Jersey
$543K +$42.9K +517 +9%
FAT
643
First American Trust
California
$542K
ASN
644
Advisory Services Network
Georgia
$537K -$7.96K -96 -2%
IAS
645
IMA Advisory Services
Colorado
$534K -$400K -4,821 -43%
HCM
646
Hutchinson Capital Management
California
$534K
WRM
647
Westport Resources Management
Connecticut
$534K +$66.2K +799 +14%
FFBTD
648
First Financial Bank - Trust Division
Ohio
$532K +$37.1K +447 +8%
BT
649
Beacon Trust
New Jersey
$521K -$13.3K -161 -3%
ACM
650
Apex Capital Management
Ohio
$512K +$137K +1,651 +37%