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Oracle

Name Holding Trade Value Shares
Change
Change in
Stake
WI
1076
Wafra Inc
New York
$618K -$50.1K -1,311 -7%
BPM
1077
Bowling Portfolio Management
Ohio
$616K -$7.52K -197 -1%
SFSG
1078
Stearns Financial Services Group
North Carolina
$615K -$23.8K -623 -4%
ACH
1079
ArrowMark Colorado Holdings
Colorado
$613K -$554K -14,500 -46%
SCA
1080
Salient Capital Advisors
Texas
$606K +$302K +7,901 +91%
MC
1081
Moors & Cabot
Massachusetts
$600K +$14.8K +388 +2%
RSVP
1082
Ramsay Stattman Vela & Price
Colorado
$594K
DTL
1083
Dynamic Technology Lab
Singapore
$592K +$619K +16,199 New
NG
1084
Northstar Group
New York
$590K -$51.6K -1,350 -8%
MSFP
1085
Mark Sheptoff Financial Planning
Connecticut
$588K -$568K -14,886 -48%
FTI
1086
Fiduciary Trust International
Massachusetts
$588K
BTNA
1087
Bremer Trust National Association
Minnesota
$587K -$115K -3,015 -16%
IC
1088
Intersect Capital
California
$585K -$11.8K -308 -2%
BOH
1089
Bank of Hawaii
Hawaii
$582K -$352K -9,230 -37%
SG
1090
Swarthmore Group
Pennsylvania
$579K +$66.8K +1,750 +12%
MCM
1091
Maryland Capital Management
Maryland
$575K -$3.82K -100 -0.6%
BSW
1092
Buckingham Strategic Wealth
Missouri
$572K +$28.1K +737 +5%
WC
1093
Whitney & Co
New York
$562K -$105K -2,750 -15%
KFC
1094
Klingenstein Fields & Co
New York
$562K +$84K +2,200 +17%
D.E. Shaw & Co
1095
D.E. Shaw & Co
New York
$561K -$20.5M -535,737 -97%
HSA
1096
HBK Sorce Advisory
Pennsylvania
$560K -$35.1K -920 -6%
SIG
1097
Stanford Investment Group
California
$556K
GLI
1098
Guardian Life Insurance
New York
$555K -$146K -3,822 -20%
SSI
1099
Scott & Selber Inc
Texas
$553K
PBO
1100
Peoples Bank (Ohio)
Ohio
$551K +$576K +15,082 New