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STMicroelectronics

Name Holding Trade Value Shares
Change
Change in
Stake
Truist Financial
151
Truist Financial
North Carolina
$343K -$29K -689 -8%
Franklin Resources
152
Franklin Resources
California
$343K +$332K +7,870 New
FC
153
FORA Capital
Florida
$342K +$254K +6,038 +335%
BP
154
Ballentine Partners
Massachusetts
$340K +$11.3K +267 +4%
CAM
155
Cresset Asset Management
Illinois
$333K +$41.3K +979 +15%
OC
156
Oppenheimer & Co
New York
$320K +$62.8K +1,489 +25%
AP
157
Advisor Partners
California
$318K -$37.1K -880 -11%
CCC
158
Chelsea Counsel Company
California
$312K +$301K +7,150 New
QCG
159
Quadrant Capital Group
Ohio
$298K -$6.95K -165 -2%
AIS
160
AM Investment Strategies
Tennessee
$283K +$13.7K +325 +5%
Twin Tree Management
161
Twin Tree Management
Texas
$281K -$8.95M -212,328 -97%
Rockefeller Capital Management
162
Rockefeller Capital Management
New York
$278K -$72.7K -1,726 -21%
9WM
163
9258 Wealth Management
Ohio
$273K +$15.6K +369 +6%
CT
164
Cambridge Trust
Massachusetts
$262K
IRC
165
Investors Research Corp
Georgia
$255K
SIGI
166
Susquehanna International Group (Ireland)
Ireland
$255K +$246K +5,849 New
AssetMark Inc
167
AssetMark Inc
California
$248K -$217K -5,148 -48%
SPC
168
Sigma Planning Corp
Michigan
$244K -$1.94K -46 -0.8%
SW
169
SVB Wealth
Massachusetts
$241K -$74.6K -1,771 -24%
NW
170
NewEdge Wealth
Pennsylvania
$239K +$231K +5,483 New
IAIM
171
International Assets Investment Management
Florida
$236K +$228K +5,400 New
BCI
172
Brinker Capital Investments
Pennsylvania
$234K
First Trust Advisors
173
First Trust Advisors
Illinois
$232K +$224K +5,309 New
MIM
174
MTM Investment Management
South Carolina
$231K +$223K +5,285 New
PBF
175
Petix & Botte Financial
California
$221K +$214K +5,075 New