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Thermo Fisher Scientific

Name Holding Trade Value Shares
Change
Change in
Stake
AB
2151
Atlas Brown
Kentucky
$205K -$18K -43 -8%
PMWMG
2152
Parr McKnight Wealth Management Group
Minnesota
$204K
RSC
2153
Red Spruce Capital
Pennsylvania
$204K
FA
2154
Fiduciary Alliance
South Carolina
$204K -$437K -1,046 -68%
Cohen & Steers
2155
Cohen & Steers
New York
$203K +$58.5K +140 +39%
AGC
2156
Aspen Grove Capital
Colorado
$203K +$209K +500 New
BC
2157
Belmont Capital
California
$203K
CI
2158
Corient IA
Florida
$203K
CTC
2159
Corundum Trust Company
South Dakota
$203K
KLWA
2160
Kelly Lawrence W & Associates
California
$203K
NI
2161
NCP Inc
California
$203K +$73.2K +175 +54%
VM
2162
Venator Management
Pennsylvania
$203K +$209K +500 New
CG
2163
Clifford Group
Massachusetts
$202K -$8.36K -20 -4%
IA
2164
IFG Advisory
Georgia
$202K +$30.5K +73 +17%
RA
2165
Rodgers & Associates
Pennsylvania
$201K -$9.62K -23 -4%
HI
2166
Hudock Inc
Pennsylvania
$201K +$1.67K +4 +0.8%
NG
2167
Novem Group
New York
$201K -$63.6K -152 -23%
CCA
2168
Covey Capital Advisors
Georgia
$199K
BAM
2169
Byrne Asset Management
New Jersey
$197K -$256K -613 Closed
CCM
2170
Colorado Capital Management
Colorado
$194K
LI
2171
LRI Investments
Florida
$187K -$15.1K -36 -7%
CVM
2172
Cheviot Value Management
California
$187K -$3.76K -9 -2%
FP
2173
Financial Perspectives
Minnesota
$186K
S
2174
Sachetta
Massachusetts
$179K +$2.51K +6 +1%
PCTC
2175
Perkins Coie Trust Company
Washington
$172K