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Palo Alto Networks

Name Holding Trade Value Shares
Change
Change in
Stake
TRCT
676
Tower Research Capital (TRC)
New York
$384K -$1.12M -18,888 -73%
ST
677
Smithfield Trust
Pennsylvania
$375K -$48.5K -816 -10%
LSA
678
Leonteq Securities AG
Switzerland
$373K -$339K -5,700 -45%
IA
679
IFG Advisory
Georgia
$372K +$78.1K +1,314 +23%
HIS
680
Harvest Investment Services
Illinois
$371K +$411K +6,912 New
RFO
681
RiverGlades Family Offices
Florida
$370K -$53.5K -900 -12%
HIA
682
Harbor Investment Advisory
Maryland
$362K -$464K -7,800 -54%
DILIC
683
Dai-ichi Life Insurance Company
Japan
$359K
TNA
684
True North Advisors
Texas
$359K +$398K +6,702 New
Twin Tree Management
685
Twin Tree Management
Texas
$354K -$3.26M -54,780 -89%
GTAM
686
Global Trust Asset Management
Florida
$354K -$2.85K -48 -0.7%
AAP
687
Aristotle Atlantic Partners
Florida
$354K
AII
688
AGF Investments Inc
Ontario, Canada
$353K -$9.98K -168 -2%
MOACM
689
Mutual of America Capital Management
New York
$352K -$11.8K -198 -3%
QAM
690
QCI Asset Management
New York
$352K
RWA
691
Ropes Wealth Advisors
Massachusetts
$351K -$30K -504 -8%
CWA
692
Clarus Wealth Advisors
Arizona
$350K
IIM
693
Ipswich Investment Management
Massachusetts
$350K +$2.14K +36 +0.6%
HI
694
Horizon Investments
North Carolina
$347K -$216K -3,636 -36%
FFS
695
Founders Financial Securities
Maryland
$345K +$82.4K +1,386 +27%
LNC
696
Lincoln National Corp
Pennsylvania
$344K -$261K -4,392 -41%
HIC
697
Hartline Investment Corp
Illinois
$344K
CCP
698
Corient Capital Partners
California
$341K +$43.9K +738 +13%
MOS
699
MGO One Seven
Ohio
$341K +$60.6K +1,020 +19%
CG
700
Caprock Group
Idaho
$340K +$3.92K +66 +1%