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Novartis

Name Holding Trade Value Shares
Change
Change in
Stake
VWM
751
Venturi Wealth Management
Texas
$327K -$88.4K -1,008 -21%
SMG
752
Smart Money Group
Texas
$327K +$24.1K +275 +8%
BIP
753
Blueprint Investment Partners
North Carolina
$327K +$339K +3,865 New
AIP
754
Almanack Investment Partners
Pennsylvania
$326K +$338K +3,856 New
TYCC
755
Texas Yale Capital Corp
Florida
$325K
PTC
756
Private Trust Company
Ohio
$324K -$19.3K -220 -5%
CWP
757
Concord Wealth Partners
Virginia
$323K -$148K -1,687 -31%
MIA
758
MMBG Investment Advisors
Florida
$321K
HI
759
Hendershot Investments
Virginia
$320K -$4.04K -46 -1%
TLCM
760
Twin Lakes Capital Management
California
$320K -$3.77K -43 -1%
RTC
761
Riverview Trust Company
Washington
$318K
MIM
762
Merrion Investment Management
New Jersey
$317K -$16.7K -190 -5%
CWM
763
CCG Wealth Management
California
$316K -$5.18K -59 -2%
Koshinski Asset Management
764
Koshinski Asset Management
Illinois
$314K -$35.4K -404 -10%
RCG
765
Regatta Capital Group
California
$313K -$145K -1,656 -31%
NDSI
766
Newman Dignan & Sheerar Inc
Rhode Island
$313K
SFG
767
Summit Financial Group
West Virginia
$312K
PB
768
Pinnacle Bancorp
Nebraska
$310K
ARG
769
Advisory Resource Group
Oklahoma
$308K -$43.5K -496 -12%
RHAM
770
Round Hill Asset Management
California
$308K
HIM
771
Hotaling Investment Management
Pennsylvania
$307K +$115K +1,315 +57%
PCMN
772
Paradigm Capital Management (Nevada)
Nevada
$306K -$43.9K -500 -12%
PWM
773
Perigon Wealth Management
California
$305K +$114K +1,297 +56%
V
774
Veritable
Delaware
$304K +$11.3K +129 +4%
PP
775
PDS Planning
Ohio
$303K +$33.7K +384 +12%