We are live on ! Find out more
ON icon

ON Semiconductor

Name Holding Trade Value Shares
Change
Change in
Stake
VI
476
Vestcor Inc
New Brunswick, Canada
$473K
NAM
477
NorthCrest Asset Manangement
Minnesota
$470K -$246K -3,913 -34%
BCM
478
Brasada Capital Management
Texas
$464K +$471K +7,500 New
NWAG
479
Net Worth Advisory Group
Utah
$462K -$87K -1,386 -16%
VIM
480
Vinva Investment Management
Australia
$462K +$521K +8,295 New
MGIA
481
Moneta Group Investment Advisors
Missouri
$462K +$3.39K +54 +0.7%
PTP
482
Platform Technology Partners
New York
$455K -$1.13K -18 -0.2%
HI
483
Horizon Investments
North Carolina
$455K +$27K +430 +6%
EWA
484
EP Wealth Advisors
California
$452K -$26.4K -420 -5%
KCP
485
Kera Capital Partners
California
$448K -$9.48K -151 -2%
JCM
486
Jag Capital Management
Missouri
$445K +$451K +7,188 New
FB
487
Fulton Bank
Pennsylvania
$444K +$450K +7,178 New
CCFM
488
Clear Creek Financial Management
Washington
$443K -$4.71K -75 -1%
AWM
489
Apollon Wealth Management
South Carolina
$441K +$7.97K +127 +2%
VA
490
VestGen Advisors
Illinois
$437K +$11.5K +183 +5%
BBA
491
Baader Bank Aktiengesellschaft
Germany
$436K +$448K +7,140 New
JAG
492
Journey Advisory Group
Kentucky
$432K -$32.3K -515 -7%
OL
493
Optas LLC
Texas
$430K +$436K +6,944 New
CF
494
Centaurus Financial
California
$429K -$29.5K -470 -6%
CFM
495
Catalyst Funds Management
Australia
$427K -$1.45M -23,102 -77%
IAIM
496
International Assets Investment Management
Florida
$421K -$126K -2,003 -23%
ET
497
Entropy Technologies
New York
$420K -$3.57M -56,827 -89%
PA
498
Parallel Advisors
California
$419K +$58.1K +926 +16%
DADC
499
D.A. Davidson & Co
Montana
$416K -$1.19K -19 -0.3%
MG
500
Marex Group
$411K -$127K -2,029 -23%