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Qualcomm

Name Holding Trade Value Shares
Change
Change in
Stake
FDCDDQ
676
Federation des caisses Desjardins du Quebec
Quebec, Canada
$2.14M -$561K -8,810 -19%
HCA
677
Horan Capital Advisors
Ohio
$2.13M -$1.02M -15,938 -29%
CNBT
678
Canandaigua National Bank & Trust
New York
$2.11M +$39.4K +618 +2%
PCTC
679
Perkins Coie Trust Company
Washington
$2.1M +$114K +1,789 +5%
MF
680
MHI Funds
New York
$2.06M +$8.09K +127 +0.3%
MTIM
681
Marathon Trading Investment Management
Pennsylvania
$2.06M +$898K +14,088 +61%
HCM
682
Hengehold Capital Management
Ohio
$2.04M +$18.2K +286 +0.8%
CA
683
Cetera Advisors
Colorado
$2.04M -$363K -5,702 -13%
CPO
684
Cerity Partners OCIO
New York
$2.03M +$990K +15,533 +74%
SB
685
Simmons Bank
Arkansas
$2.03M +$470K +7,369 +25%
GCIA
686
Gabelli & Co Investment Advisers
New York
$2.02M +$937K +14,700 +68%
AL
687
Aspiriant LLC
California
$2.02M +$2.1M +32,993 +953%
AT
688
Argent Trust
Texas
$2M +$166K +2,608 +8%
MCM
689
Marathon Capital Management
Maryland
$2M -$36.4K -572 -2%
SFI
690
Susquehanna Fundamental Investments
Pennsylvania
$2M +$2.29M +36,000 New
SBIA
691
Sheaff Brock Investment Advisors
Indiana
$1.98M -$94.1K -1,476 -4%
FMC
692
First Merchants Corp
Indiana
$1.98M -$170K -2,661 -7%
Marshall Wace
693
Marshall Wace
United Kingdom
$1.97M -$6.89M -108,167 -75%
BPC
694
Banque Pictet & Cie
Switzerland
$1.97M +$701K +11,000 +45%
FL
695
Fort LP
Maryland
$1.96M -$131K -2,060 -5%
AA
696
Altman Advisors
Illinois
$1.96M +$34.5K +541 +2%
CG
697
Clinton Group
New York
$1.94M +$2.24M +35,085 New
IRF
698
IBM Retirement Fund
New York
$1.94M -$93.9K -1,474 -4%
PRHC
699
P.R. Herzig & Co
New York
$1.94M -$298K -4,675 -12%
BBWA
700
Bell & Brown Wealth Advisors
California
$1.92M -$27.9K -438 -1%