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RTX Corp

Name Holding Trade Value Shares
Change
Change in
Stake
LNC
1151
Lincoln National Corp
Pennsylvania
$659K +$44.9K +607 +7%
WPC
1152
White Pine Capital
Minnesota
$656K -$32.9K -445 -5%
FFC
1153
First Financial Corp
Indiana
$653K -$31.1K -421 -4%
KI
1154
Koch Industries
Kansas
$648K +$656K +8,870 New
CP
1155
Camelot Portfolios
Ohio
$646K
DRD
1156
Dennis R. Delaney
$643K +$79.9K +1,080 +14%
FPS
1157
Fieldpoint Private Securities
Connecticut
$642K +$650K +8,789 New
WCF
1158
West Coast Financial
California
$640K +$30.2K +408 +5%
TRCT
1159
Tower Research Capital (TRC)
New York
$637K -$813K -10,991 -56%
HSA
1160
HBK Sorce Advisory
Pennsylvania
$635K +$7.18K +97 +1%
CM
1161
Capital Management
Virginia
$634K
WA1
1162
Wimmer Associates 1
California
$630K +$4.66K +63 +0.7%
PGCM
1163
Prescott Group Capital Management
Oklahoma
$627K
Koshinski Asset Management
1164
Koshinski Asset Management
Illinois
$626K +$6.36K +86 +1%
BAM
1165
Berkshire Asset Management
Pennsylvania
$624K +$32.9K +445 +5%
VWM
1166
Valley Wealth Managers
New Jersey
$618K -$535K -7,230 -46%
CT
1167
Chicago Trust
Illinois
$615K +$7.62K +103 +1%
NFG
1168
Next Financial Group
Texas
$614K -$814K -11,006 -57%
AB
1169
AT Bancorp
Iowa
$612K -$1.7K -23 -0.3%
PFBT
1170
Parkside Financial Bank & Trust
Missouri
$611K -$6.73K -91 -1%
VWM
1171
Venturi Wealth Management
Texas
$610K -$31K -419 -5%
ST
1172
Spot Trading
Illinois
$609K +$617K +8,333 New
CG
1173
Colony Group
Massachusetts
$606K -$9.54K -129 -2%
SCM
1174
SOL Capital Management
Maryland
$604K +$14.1K +191 +2%
SL
1175
Summitry LLC
California
$602K -$1.78K -24 -0.3%