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Thermo Fisher Scientific

Name Holding Trade Value Shares
Change
Change in
Stake
WC
676
Woodstock Corp
Massachusetts
$7.76M +$1.07K +2 +0%
PHP
677
Parkman Healthcare Partners
Connecticut
$7.76M +$8.17M +15,332 New
AHC
678
Adell Harriman & Carpenter
Texas
$7.72M -$121K -227 -1%
BAM
679
Bell Asset Management
Australia
$7.72M +$1.74M +3,268 +27%
JCM
680
Jag Capital Management
Missouri
$7.67M -$557K -1,045 -6%
FNT
681
First National Trust
Pennsylvania
$7.66M -$119K -223 -1%
SF
682
Synovus Financial
Georgia
$7.6M -$1.78M -3,340 -18%
SRC
683
Stone Run Capital
New York
$7.6M +$13.3K +25 +0.2%
NB
684
Norinchukin Bank
Japan
$7.59M -$9.32M -17,495 -54%
SG Americas Securities
685
SG Americas Securities
New York
$7.59M -$2.5M -4,690 -24%
LGF
686
LGT Group Foundation
Liechtenstein
$7.54M -$197K -369 -2%
AMI
687
Amica Mutual Insurance
Rhode Island
$7.46M
AI
688
ArchPoint Investors
Florida
$7.44M
GH
689
GAM Holding
Switzerland
$7.41M -$1.6K -3 -0%
JGUA
690
John G. Ullman & Associates
New York
$7.4M -$133K -250 -2%
KRSITF
691
Kentucky Retirement Systems Insurance Trust Fund
Kentucky
$7.34M +$350K +657 +5%
CWM
692
Curi Wealth Management
North Carolina
$7.33M -$233K -437 -3%
MPM
693
MBB Public Markets
Illinois
$7.32M +$373K +700 +5%
GCA
694
Greenwood Capital Associates
South Carolina
$7.27M -$58.6K -110 -0.8%
MCM
695
Mitchell Capital Management
Kansas
$7.26M -$17.6K -33 -0.2%
FCBT
696
First Citizens Bank & Trust
North Carolina
$7.25M -$549K -1,030 -7%
MCP
697
Mirador Capital Partners
California
$7.24M +$91.7K +172 +1%
CIG
698
Consolidated Investment Group
Colorado
$7.24M
FDP
699
Financiere des Professionnels
Quebec, Canada
$7.23M +$7.61M +14,274 New
LI
700
LMCG Investments
Massachusetts
$7.2M -$187K -351 -2%