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Thermo Fisher Scientific

Name Holding Trade Value Shares
Change
Change in
Stake
SB
1101
Simmons Bank
Arkansas
$2.84M +$184K +322 +7%
BST
1102
Bath Savings Trust
Maine
$2.83M -$124K -217 -4%
NRD
1103
Nebula Research & Development
New York
$2.83M +$2.18M +3,801 +289%
BFG
1104
Berger Financial Group
Minnesota
$2.82M -$95.7K -167 -3%
CWM
1105
Connecticut Wealth Management
Connecticut
$2.81M +$140K +244 +5%
MA
1106
MONECO Advisors
Connecticut
$2.81M -$133K -232 -4%
VIM
1107
Vista Investment Management
Pennsylvania
$2.81M +$49.3K +86 +2%
MWM
1108
Modern Wealth Management
Kansas
$2.8M +$94.5K +165 +3%
MC
1109
Machina Capital
France
$2.8M +$2.66M +4,636 +1,081%
CPA
1110
Court Place Advisors
Maryland
$2.77M +$192K +335 +7%
ET
1111
Equitable Trust
Tennessee
$2.77M +$184K +322 +7%
VFM
1112
Viking Fund Management
North Dakota
$2.77M
DAS
1113
Dynamic Advisor Solutions
Arizona
$2.76M +$48.1K +84 +2%
DTL
1114
Dynamic Technology Lab
Singapore
$2.75M +$1.97M +3,447 +226%
QCG
1115
Quadrant Capital Group
Ohio
$2.74M +$80.8K +141 +3%
CAL
1116
Capital Analysts LLC
Pennsylvania
$2.74M +$263K +459 +10%
AP
1117
Americana Partners
Texas
$2.74M -$214K -374 -7%
SIM
1118
Sterling Investment Management
Arizona
$2.74M -$748K -1,305 -21%
AEPWM
1119
Atlantic Edge Private Wealth Management
Florida
$2.73M +$8.59K +15 +0.3%
SIG
1120
Stonegate Investment Group
Alabama
$2.73M +$74.5K +130 +3%
NP
1121
NorthRock Partners
Minnesota
$2.72M +$402K +702 +17%
AWM
1122
Aries Wealth Management
Maine
$2.72M -$17.2K -30 -0.6%
PDL
1123
Portfolio Design Labs
California
$2.7M +$246K +429 +10%
VBCG
1124
Valley Brook Capital Group
Pennsylvania
$2.69M +$57.3K +100 +2%
CNBTD
1125
Citizens National Bank Trust Department
Mississippi
$2.68M -$40.1K -70 -1%