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Name Holding Trade Value Shares
Change
Change in
Stake
CB
701
Chemical Bank
Michigan
$2.25M -$234K -4,794 -10%
CG
702
Cutler Group
California
$2.24M +$1.17M +24,041 +121%
OL
703
Orbitronix LP
California
$2.23M +$1.16M +23,700 +119%
KFS
704
Kurt F. Somerville
$2.23M +$615K +12,622 +41%
Fiera Capital (Canada)
705
Fiera Capital (Canada)
Quebec, Canada
$2.23M -$10.2M -208,685 -83%
CNBT
706
Canandaigua National Bank & Trust
New York
$2.22M +$751K +15,416 +55%
NI
707
Numeric Investors
Massachusetts
$2.21M -$760K -15,600 -27%
Nomura Holdings
708
Nomura Holdings
Japan
$2.21M -$383K -7,848 -15%
Boston Partners
709
Boston Partners
Massachusetts
$2.21M -$2.05M -42,000 -49%
FB
710
Fulton Bank
Pennsylvania
$2.2M -$1.36M -27,952 -39%
PCA
711
Personal Capital Advisors
California
$2.2M +$784K +16,087 +60%
HP
712
Hikari Power
Japan
$2.19M
BWM
713
Braver Wealth Management
Massachusetts
$2.19M +$2.09M +42,859 New
FWIA
714
Fort Washington Investment Advisors
Ohio
$2.18M -$293K -6,020 -12%
SHA
715
Smith Hayes Advisers
Nebraska
$2.18M +$187K +3,844 +10%
WB
716
WesBanco Bank
West Virginia
$2.18M -$3.99M -81,812 -66%
III
717
Independent Investors Inc
New York
$2.18M
AIMCA
718
Alberta Investment Management Corp (AIMCo)
Alberta, Canada
$2.17M -$4.35M -89,200 -68%
FG
719
Fiduciary Group
Georgia
$2.15M -$321K -6,595 -14%
GW
720
GW & Wade
Massachusetts
$2.13M +$633K +12,992 +45%
PIM
721
Perkins Investment Management
Illinois
$2.12M -$126K -2,587 -6%
TCM
722
Twin Capital Management
Pennsylvania
$2.1M -$1.19M -24,420 -37%
LBC
723
Lawrence B. Cohen
$2.09M -$173K -3,540 -8%
CEI
724
Clark Estates Inc
New York
$2.07M +$73.1K +1,500 +4%
WPP
725
Whalerock Point Partners
Rhode Island
$2.06M -$3.17K -65 -0.2%