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Tyson Foods

Name Holding Trade Value Shares
Change
Change in
Stake
PA
526
Parallel Advisors
California
$499K +$40K +580 +9%
CA
527
Cetera Advisors
Colorado
$497K +$53.9K +781 +13%
TCOO
528
Trust Company of Oklahoma
Oklahoma
$494K -$5.52K -80 -1%
T
529
TOBAM
France
$483K -$33.6K -486 -7%
CI Investments Inc
530
CI Investments Inc
Ontario, Canada
$479K -$177K -2,567 -28%
IIC
531
Integrated Investment Consultants
Michigan
$476K +$155K +2,245 +54%
NA
532
NewEdge Advisors
Louisiana
$471K +$438K +6,341 New
PP
533
Paloma Partners
Connecticut
$468K -$4.94M -71,569 -92%
HWAM
534
Hennion & Walsh Asset Management
New Jersey
$468K +$435K +6,297 New
DI
535
Diligent Investors
California
$465K +$7.11K +103 +2%
B
536
BP
United Kingdom
$460K +$428K +6,197 New
PCM
537
Prelude Capital Management
New York
$459K -$200K -2,902 -32%
GT
538
Greenleaf Trust
Michigan
$458K +$47K +681 +12%
FANJ
539
Financial Architects (New Jersey)
New Jersey
$455K -$3.45K -50 -0.8%
BTWM
540
Baker Tilly Wealth Management
Wisconsin
$454K +$422K +6,111 New
ANB
541
Amarillo National Bank
Texas
$442K -$58.7K -850 -13%
SP
542
Symmetry Partners
Connecticut
$432K -$14.2K -205 -3%
GC
543
Gilbert & Cook
Iowa
$432K +$41.2K +597 +11%
BPM
544
Bowling Portfolio Management
Ohio
$431K -$26.4K -383 -6%
P
545
Pitcairn
Pennsylvania
$430K +$400K +5,792 New
KCM
546
Kendall Capital Management
Maryland
$426K +$25.9K +375 +7%
AP
547
Advisor Partners
California
$417K -$62.3K -903 -14%
CFSG
548
Clark Financial Services Group
Missouri
$415K +$386K +5,588 New
MWM
549
Meridian Wealth Management
Kentucky
$409K +$104K +1,509 +38%
MCM
550
MAI Capital Management
Ohio
$407K +$147K +2,122 +63%