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Thermo Fisher Scientific

Name Holding Trade Value Shares
Change
Change in
Stake
CCMG
776
Clark Capital Management Group
Pennsylvania
$602K -$668K -4,333 -53%
SIA
777
Starfire Investment Advisers
Michigan
$592K
NPT
778
Nixon Peabody Trust
Massachusetts
$585K -$321K -2,083 -36%
MBT
779
Montecito Bank & Trust
California
$585K +$179K +1,163 +46%
BCM
780
BlueCrest Capital Management
Jersey
$583K -$139K -904 -20%
NDSI
781
Newman Dignan & Sheerar Inc
Rhode Island
$574K -$30.8K -200 -5%
FNBOH
782
First National Bank of Hutchinson
Kansas
$567K +$560K +3,636 New
BCI
783
Brinker Capital Investments
Pennsylvania
$560K -$7.24K -47 -1%
PP
784
Palladium Partners
Virginia
$557K
IP
785
Investment Partners
Ohio
$552K +$291K +1,888 +119%
MFS
786
MSI Financial Services
Massachusetts
$549K +$66K +428 +14%
FAAS
787
First Allied Advisory Services
California
$541K -$115K -749 -18%
1IA
788
1834 Investment Advisors
Wisconsin
$541K
GS
789
GAM Systematic
United Kingdom
$535K -$227K -1,473 -30%
CIA
790
Choate Investment Advisors
Massachusetts
$534K +$2.31K +15 +0.4%
EC
791
Eachwin Capital
New York
$534K
AUB
792
Atlantic Union Bankshares
Virginia
$524K
FFC
793
First Financial Corp
Indiana
$519K -$57.9K -376 -10%
SCM
794
SOL Capital Management
Maryland
$517K
WP
795
WealthSource Partners
California
$516K +$500K +3,245 New
CSS
796
Cubist Systematic Strategies
Connecticut
$510K -$345K -2,242 -41%
SCM
797
Sterneck Capital Management
Missouri
$509K +$11.6K +75 +2%
EB
798
Eastern Bank
Massachusetts
$507K
CCA
799
Checchi Capital Advisers
California
$506K -$8.17K -53 -2%
HH
800
Hilltop Holdings
Texas
$502K -$11.4K -74 -2%