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NXP Semiconductors

Name Holding Trade Value Shares
Change
Change in
Stake
DDC
226
DF Dent & Co
Maryland
$700K +$627K +15,230 New
IH
227
IFC Holdings
Florida
$694K +$43.8K +1,065 +7%
PA
228
Profund Advisors
Maryland
$616K +$552K +13,413 New
P
229
Pitcairn
Pennsylvania
$607K -$99.9K -2,427 -15%
AAM
230
Advisors Asset Management
Colorado
$590K +$59K +1,434 +13%
LPL Financial
231
LPL Financial
California
$575K -$610K -14,809 -54%
Truist Financial
232
Truist Financial
North Carolina
$562K +$53.3K +1,294 +12%
ID
233
Integral Derivatives
New York
$536K +$481K +11,672 New
Janus Henderson Group
234
Janus Henderson Group
$531K -$4.12M -100,000 -90%
Rafferty Asset Management
235
Rafferty Asset Management
New York
$516K +$463K +11,242 New
SAM
236
Symphony Asset Management
California
$516K +$463K +11,250 New
SI
237
Standard Investments
New York
$512K +$459K +11,144 New
PA
238
Pinnacle Associates
New York
$492K +$24.7K +600 +6%
US Bancorp
239
US Bancorp
Minnesota
$491K +$123K +2,994 +39%
IPC
240
Independent Portfolio Consultants
Florida
$482K -$7.41K -180 -2%
PP
241
Peconic Partners
New York
$459K -$1.03M -25,000 -71%
AL
242
Airain Ltd
Guernsey
$440K -$1.55M -37,593 -80%
CIBC Asset Management
243
CIBC Asset Management
Ontario, Canada
$395K +$354K +8,597 New
RNS
244
Robert N. Shapiro
$390K
CC
245
Cipher Capital
New York
$372K -$50.5K -1,227 -13%
ECM
246
ETrade Capital Management
Virginia
$360K +$86.9K +2,110 +37%
OAM
247
Origin Asset Management
United Kingdom
$344K +$309K +7,500 New
RCM
248
Reynolds Capital Management
Nevada
$331K +$74.1K +1,800 +33%
Group One Trading
249
Group One Trading
Illinois
$324K +$290K +7,055 New
ST
250
Somerset Trust
Pennsylvania
$315K +$283K +6,862 New