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NXP Semiconductors

Name Holding Trade Value Shares
Change
Change in
Stake
DTL
476
Dynamic Technology Lab
Singapore
$421K +$370K +4,198 New
KAM
477
Keeley Asset Management
Illinois
$414K -$88.1K -1,000 -19%
DADC
478
D.A. Davidson & Co
Montana
$413K +$356K +4,037 +4,037%
JC
479
Jetstream Capital
Tennessee
$401K -$705K -8,000 -67%
MC
480
Moors & Cabot
Massachusetts
$395K +$348K +3,950 New
KIA
481
KCM Investment Advisors
California
$392K -$21K -238 -6%
GT
482
Glenmede Trust
Pennsylvania
$385K +$274K +3,110 +425%
AIP
483
Ameritas Investment Partners
Nebraska
$381K -$8.19K -93 -2%
Cambridge Investment Research Advisors
484
Cambridge Investment Research Advisors
Iowa
$379K +$333K +3,781 New
EIM
485
Essex Investment Management
Massachusetts
$375K -$5.93M -67,292 -95%
TCB
486
Texas Capital Bancshares
Texas
$375K +$42.6K +484 +15%
MSU
487
Maple Securities USA
New Jersey
$369K +$323K +3,672 New
PMG
488
ProVise Management Group
Florida
$366K -$11.1K -126 -3%
BPCA
489
Bank Pictet & Cie (Asia)
Singapore
$364K +$317K +3,600 New
VFA
490
Voya Financial Advisors
Connecticut
$363K +$312K +3,543 New
AIM
491
Assured Investment Management
New York
$362K +$318K +3,610 New
ID
492
Integral Derivatives
New York
$361K +$316K +3,593 New
RJT
493
Raymond James Trust
Florida
$360K +$315K +3,580 New
SNT
494
Security National Trust
West Virginia
$356K
RCM
495
Reynolds Capital Management
Nevada
$351K -$132K -1,500 -30%
RCM
496
Riverhead Capital Management
Delaware
$351K
YMRC
497
Yorktown Management & Research Company
Virginia
$331K -$52.8K -600 -15%
BAS
498
Brown Advisory Securities
Maryland
$323K +$283K +3,213 New
HIM
499
Hillsdale Investment Management
Ontario, Canada
$311K
WCA
500
Westover Capital Advisors
Delaware
$307K +$5.55K +63 +2%