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Thermo Fisher Scientific

Name Holding Trade Value Shares
Change
Change in
Stake
PK
1051
Pflug Koory
Nebraska
$2.74M +$24.5K +51 +0.9%
BWG
1052
Boomfish Wealth Group
Georgia
$2.74M -$114K -238 -4%
AC
1053
Annandale Capital
Texas
$2.73M +$480K +1,000 +22%
VPI
1054
Value Partners Investments
Manitoba, Canada
$2.72M -$2.36M -4,912 -48%
CFG
1055
Chapman Financial Group
Hawaii
$2.71M
CHC
1056
City Holding Co
West Virginia
$2.69M +$529K +1,101 +26%
GWM
1057
Geneos Wealth Management
Colorado
$2.69M -$120K -250 -4%
MIP
1058
Marietta Investment Partners
Wisconsin
$2.69M
SCM
1059
Sterling Capital Management
North Carolina
$2.67M +$201K +419 +9%
TFP
1060
Tilia Fiduciary Partners
North Carolina
$2.67M +$102K +213 +4%
GIA
1061
Gladstone Institutional Advisory
Florida
$2.67M -$55.7K -116 -2%
VAG
1062
VisionPoint Advisory Group
Texas
$2.65M -$1.03M -2,144 -29%
NL
1063
NVWM LLC
Pennsylvania
$2.64M -$27.4K -57 -1%
TY
1064
Titiun Yejiel
$2.63M
ET
1065
Equitable Trust
Tennessee
$2.62M +$1.27M +2,643 +102%
VA
1066
VestGen Advisors
Illinois
$2.62M -$305K -635 -11%
CWM
1067
Circle Wealth Management
New Jersey
$2.62M -$4.32K -9 -0.2%
AA
1068
ALPS Advisors
Colorado
$2.62M +$2.02M +4,198 +412%
IA
1069
IFP Advisors
Florida
$2.61M -$36.5K -76 -1%
SSWM
1070
Sheets Smith Wealth Management
North Carolina
$2.61M +$802K +1,670 +47%
IMRF
1071
Illinois Municipal Retirement Fund
Illinois
$2.59M -$642K -1,338 -21%
PP
1072
Pacifica Partners
Canada
$2.57M +$21.6K +45 +0.9%
KC
1073
Karras Company
Utah
$2.57M +$98.9K +206 +4%
KIA
1074
KCM Investment Advisors
California
$2.57M -$45.6K -95 -2%
BONST
1075
Bank of Nova Scotia Trust
Ontario, Canada
$2.57M +$257K +536 +12%