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Thermo Fisher Scientific

Name Holding Trade Value Shares
Change
Change in
Stake
HW
1076
Hedeker Wealth
Illinois
$2.56M -$138K -255 -5%
AC
1077
Avestar Capital
New York
$2.56M -$14.7K -27 -0.5%
APP
1078
Avantax Planning Partners
Iowa
$2.55M +$66.2K +122 +2%
SVWAG
1079
Sound View Wealth Advisors Group
Georgia
$2.53M +$72.2K +133 +3%
MC
1080
Middleton & Co
Massachusetts
$2.52M
TFP
1081
Tilia Fiduciary Partners
North Carolina
$2.51M +$136K +250 +5%
CC
1082
Courier Capital
New York
$2.51M -$161K -297 -6%
IFG
1083
Independent Financial Group
California
$2.49M +$872K +1,606 +46%
MYLI
1084
Meiji Yasuda Life Insurance
Japan
$2.49M
HPCM
1085
Hunter Perkins Capital Management
Illinois
$2.47M +$37.4K +69 +1%
BAM
1086
Belpointe Asset Management
Nevada
$2.46M +$78.1K +144 +3%
SAW
1087
Signal Advisors Wealth
Michigan
$2.46M +$109K +200 +4%
CIC
1088
Canal Insurance Company
South Carolina
$2.46M
VFM
1089
Viking Fund Management
North Dakota
$2.46M
BMCM
1090
Bryn Mawr Capital Management
Pennsylvania
$2.45M -$33.6K -62 -1%
SR
1091
Syntax Research
Florida
$2.45M +$236K +434 +10%
HW
1092
Hancock Whitney
Mississippi
$2.44M -$85.2K -157 -3%
AF
1093
Arrow Financial
New York
$2.43M -$99.3K -183 -4%
KC
1094
Karras Company
Utah
$2.42M +$101K +186 +4%
AWM
1095
Angeles Wealth Management
California
$2.42M +$20.1K +37 +0.8%
VVP
1096
Venture Visionary Partners
Ohio
$2.42M +$118K +217 +5%
SCM
1097
Sterling Capital Management
North Carolina
$2.41M -$72.2K -133 -3%
PAM
1098
Paradigm Asset Management
New York
$2.41M
AWM
1099
Aries Wealth Management
Maine
$2.41M -$15.2K -28 -0.6%
PP
1100
Pacifica Partners
Canada
$2.39M -$131K -241 -5%