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Qualcomm

Name Holding Trade Value Shares
Change
Change in
Stake
VNA
1376
VNBTrust National Association
Virginia
$276K -$8.67K -123 -3%
BONST
1377
Bank of Nova Scotia Trust
Ontario, Canada
$276K +$3.88K +55 +1%
CNAM
1378
Campbell Newman Asset Management
Wisconsin
$273K
CCM
1379
Coldstream Capital Management
Washington
$271K +$48.6K +690 +21%
ACM
1380
Ativo Capital Management
Illinois
$270K +$6.48K +92 +2%
IRS
1381
Invictus RG (Singapore)
Singapore
$267K +$142K +2,021 +110%
PMG
1382
ProVise Management Group
Florida
$266K -$344K -4,884 -56%
FHA
1383
First Horizon Advisors
Tennessee
$266K -$152K -2,154 -36%
IC
1384
Intersect Capital
California
$266K +$22K +312 +9%
Twin Tree Management
1385
Twin Tree Management
Texas
$266K +$271K +3,839 New
DCM
1386
Donaldson Capital Management
Indiana
$265K -$1.24M -17,657 -82%
LNC
1387
Lincoln National Corp
Pennsylvania
$265K -$21.6K -306 -7%
RWM
1388
Raffa Wealth Management
District of Columbia
$265K -$98.7K -1,400 -27%
SMC
1389
Smith, Moore & Co
Missouri
$261K +$47.6K +676 +22%
EGA
1390
Emerging Global Advisors
New York
$257K +$27.9K +396 +12%
TI
1391
Telemetry Investments
New York
$257K +$261K +3,700 New
ESBC
1392
E.S. Barr & Co
Kentucky
$255K
BFM
1393
Boston Financial Management
Massachusetts
$255K +$7.05K +100 +3%
HCM
1394
Harvest Capital Management
New Hampshire
$253K -$38.8K -550 -13%
DTL
1395
Dynamic Technology Lab
Singapore
$253K +$257K +3,653 New
MBT
1396
Montecito Bank & Trust
California
$251K -$126K -1,787 -33%
NG
1397
Northstar Group
New York
$251K +$211 +3 +0.1%
BSA
1398
Braun Stacey Associates
New York
$250K -$2.15M -30,535 -89%
NAM
1399
Nichols Asset Management
Massachusetts
$250K -$17.6K -250 -6%
SGS
1400
Sterling Global Strategies
California
$243K -$13K -184 -5%