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PPG Industries

Name Holding Trade Value Shares
Change
Change in
Stake
GP
651
Gridiron Partners
Pennsylvania
$278K
WTG
652
West Tower Group
Virginia
$277K +$271K +2,700 New
CST
653
Charles Schwab Trust
Nevada
$271K +$1.31K +13 +0.5%
VT
654
Vise Technologies
New York
$269K +$56.6K +564 +27%
MWM
655
Marion Wealth Management
Pennsylvania
$268K -$1K -10 -0.4%
WAP
656
Wealthcare Advisory Partners
Pennsylvania
$267K -$122K -1,218 -32%
IIC
657
Ironwood Investment Counsel
Arizona
$266K
PC
658
PCB Capital
New Jersey
$266K +$261K +2,599 New
PPW
659
Parcion Private Wealth
Washington
$265K -$4.82K -48 -2%
SIP
660
Stoneridge Investment Partners
Pennsylvania
$263K -$11.2K -112 -4%
CIC
661
Chilton Investment Company
Connecticut
$263K
TSMHT
662
Thurston Springer Miller Herd & Titak
Indiana
$262K +$104K +1,033 +68%
OIM
663
Orca Investment Management
Oregon
$262K +$3.01K +30 +1%
VST
664
Van Strum & Towne
California
$262K
CRIG
665
Charter Research & Investment Group
Connecticut
$261K -$100K -1,000 -28%
FPL
666
Fortress Private Ledger
North Carolina
$261K +$28.8K +287 +13%
CPIG
667
Chicago Partners Investment Group
Illinois
$260K +$36.8K +366 +19%
KNW
668
Kesler Norman & Wride
Utah
$260K -$103K -1,027 -29%
BG
669
Bahl & Gaynor
Ohio
$260K +$35.2K +350 +16%
UAML
670
US Asset Management LLC
Pennsylvania
$258K -$1.61K -16 -0.6%
Members Trust
671
Members Trust
Florida
$252K -$301 -3 -0.1%
SG
672
StoneX Group
New York
$252K +$18.1K +180 +8%
WI
673
WBI Investments
New Jersey
$252K +$247K +2,461 New
PAS
674
Park Avenue Securities
New York
$252K -$108K -1,073 -30%
NICM
675
Neo Ivy Capital Management
New York
$250K +$245K +2,442 New