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Thermo Fisher Scientific

Name Holding Trade Value Shares
Change
Change in
Stake
CCMG
751
Clark Capital Management Group
Pennsylvania
$608K -$134 -1 -0%
NB
752
Nicolet Bankshares
Wisconsin
$599K +$11.3K +84 +2%
PAM
753
Peak Asset Management
Colorado
$599K +$174K +1,295 +44%
AL
754
Airain Ltd
Guernsey
$593K +$561K +4,186 New
IAA
755
Ironsides Asset Advisors
North Carolina
$587K +$555K +4,142 New
QAM
756
Quantres Asset Management
Cayman Islands
$581K +$549K +4,100 New
MFS
757
Monetta Financial Services
Illinois
$566K
CCA
758
Catalyst Capital Advisors
New York
$566K +$536K +4,000 New
FMT
759
First Mercantile Trust
Tennessee
$565K -$120K -895 -18%
GF
760
Gerstein Fisher
New York
$557K +$47.2K +352 +10%
BCI
761
Brinker Capital Investments
Pennsylvania
$554K +$36K +269 +7%
JDR
762
Jay D. Rosenbaum
$551K +$127K +945 +32%
BC
763
Banced Corp
Illinois
$550K -$23.5K -175 -4%
RCAMU
764
Rothschild & Co Asset Management US
Connecticut
$547K -$232K -1,734 -31%
NDSI
765
Newman Dignan & Sheerar Inc
Rhode Island
$546K -$6.7K -50 -1%
MC
766
Miles Capital
Iowa
$541K -$6.3K -47 -1%
SIA
767
Starfire Investment Advisers
Michigan
$527K
RDM
768
Retirement Design & Management
Connecticut
$516K +$32.8K +245 +7%
LJHT
769
Laurie J. Hall Trustee
$512K
RIG
770
Roosevelt Investment Group
New York
$510K
PP
771
Palladium Partners
Virginia
$503K
MHS
772
M Holdings Securities
Oregon
$503K +$13.5K +101 +3%
IP
773
Investment Partners
Ohio
$492K +$253K +1,887 +119%
NFG
774
Next Financial Group
Texas
$487K +$23.5K +175 +5%
Nomura Holdings
775
Nomura Holdings
Japan
$482K -$8.81M -65,730 -95%