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Qualcomm

Name Holding Trade Value Shares
Change
Change in
Stake
DTC
1201
Davidson Trust Company
Washington
$864K +$26.9K +252 +4%
WP
1202
WealthSource Partners
California
$863K -$96.2K -901 -11%
LNC
1203
Lincoln National Corp
Pennsylvania
$863K +$33.5K +314 +4%
CFA
1204
Cahill Financial Advisors
Minnesota
$861K +$781K +7,313 New
GPA
1205
Garrison Point Advisors
California
$860K
Marshall Wace
1206
Marshall Wace
United Kingdom
$852K -$56.5M -528,838 -99%
MIFH
1207
Migdal Insurance & Financial Holdings
Israel
$851K -$641 -6 -0.1%
GH
1208
GAM Holding
Switzerland
$851K +$772K +7,231 New
HIC
1209
Holderness Investments Company
North Carolina
$850K +$10.7K +100 +1%
SPM
1210
Symmetry Peak Management
Pennsylvania
$847K +$529K +4,950 +220%
PP
1211
Paloma Partners
Connecticut
$846K -$1.59M -14,875 -67%
TMAM
1212
Tokio Marine Asset Management
Japan
$845K +$161K +1,511 +27%
TCA
1213
Transcend Capital Advisors
New Jersey
$842K +$765K +7,159 New
RSVP
1214
Ramsay Stattman Vela & Price
Colorado
$840K
CIA
1215
CSat Investment Advisory
Michigan
$836K +$70.2K +657 +10%
MCM
1216
MV Capital Management
Maryland
$832K +$29.1K +272 +4%
TI
1217
Tidal Investments
Wisconsin
$832K +$72.3K +677 +11%
EH
1218
Equitable Holdings
New York
$831K -$106K -993 -12%
MBT
1219
Montecito Bank & Trust
California
$824K +$39.2K +367 +6%
CC
1220
Cedar Capital
Illinois
$821K +$80.3K +752 +12%
CM
1221
Castleark Management
Illinois
$818K
IG
1222
ING Group
Netherlands
$818K +$742K +6,949 New
FI
1223
FormulaFolio Investments
Michigan
$816K +$237K +2,218 +47%
WP
1224
WMS Partners
Maryland
$812K
TFCM
1225
Taylor Frigon Capital Management
Arizona
$812K +$35.5K +332 +5%