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RTX Corp

Name Holding Trade Value Shares
Change
Change in
Stake
CCA
1076
Catalyst Capital Advisors
New York
$603K – – –
FIM
1077
Freedom Investment Management
Connecticut
$600K +$52.7K +773 +10%
FA
1078
FDx Advisors
Illinois
$591K -$26.6K -391 -5%
FGP
1079
Foyston, Gordon, & Payne
Ontario, Canada
$590K – – –
KT
1080
Kanaly Trust
Texas
$585K +$91.3K +1,339 +20%
BDF
1081
Balasa Dinverno & Foltz
$582K -$9.75K -143 -2%
WOC
1082
West Oak Capital
California
$575K – – –
AIP
1083
ARS Investment Partners
New York
$571K +$7.57K +111 +1%
PHS
1084
Pekin Hardy Strauss
Illinois
$569K – – –
SRC
1085
Shufro Rose & Co
New York
$569K +$217K +3,178 +67%
WCP
1086
Welch Capital Partners
New York
$559K – – –
PNAA
1087
Pictet North America Advisors
Switzerland
$558K +$531K +7,794 New
RC
1088
Roundview Capital
New Jersey
$557K – – –
BP
1089
Ballentine Partners
Massachusetts
$554K -$70.4K -1,033 -12%
CL
1090
CPWM LLC
Washington
$554K +$5.79K +85 +1%
GD
1091
Grandfield & Dodd
New York
$553K -$16.2K -238 -3%
WA
1092
Waverly Advisors
Alabama
$553K -$1.29K -19 -0.2%
FFA
1093
First Foundation Advisors
California
$549K +$9.95K +146 +2%
CHAM
1094
Clear Harbor Asset Management
Connecticut
$548K +$109K +1,603 +27%
BAS
1095
Brown Advisory Securities
Maryland
$546K +$20.8K +305 +4%
GLI
1096
Guardian Life Insurance
New York
$542K -$587K -8,611 -53%
HHGA
1097
Halbert Hargrove Global Advisors
California
$542K -$309K -4,528 -37%
KFS
1098
KMS Financial Services
Washington
$542K +$107K +1,575 +26%
ALA
1099
Atherton Lane Advisers
California
$541K -$12.4K -182 -2%
VFS
1100
VSR Financial Services
Kansas
$536K -$83.6K -1,226 -14%