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Tyson Foods

Name Holding Trade Value Shares
Change
Change in
Stake
PPW
526
Parcion Private Wealth
Washington
$367K +$344K +6,262 New
ESBC
527
E.S. Barr & Co
Kentucky
$366K +$343K +6,246 New
WIA
528
World Investment Advisors
California
$365K -$128K -2,337 -27%
VCM
529
Versant Capital Management
Arizona
$365K -$164K -2,992 -32%
CPCPP
530
Canada Post Corporation Pension Plan
Canada
$359K +$83.5K +1,520 +33%
GT
531
Glenview Trust
Kentucky
$357K
TC
532
Truvestments Capital
Florida
$352K -$95.2K -1,734 -22%
GI
533
GAMMA Investing
California
$352K +$2.58K +47 +0.8%
KWM
534
Kingsview Wealth Management
Oregon
$348K -$13K -236 -4%
PCIA
535
Prime Capital Investment Advisors
Kansas
$348K -$9.5K -173 -3%
WB
536
WesBanco Bank
West Virginia
$346K +$6.81K +124 +2%
SL
537
Sentinus LLC
Illinois
$338K +$316K +5,762 New
LNWTC
538
Laird Norton Wetherby Trust Company
Washington
$335K +$314K +5,718 New
AIM
539
Advyzon Investment Management
Illinois
$335K +$1.32K +24 +0.4%
AC
540
AlphaCore Capital
California
$333K +$312K +5,684 New
S
541
Steadtrust
Texas
$329K +$7.14K +130 +2%
IP
542
Intellectus Partners
California
$329K -$54.5K -993 -15%
TSWM
543
Triangle Securities Wealth Management
North Carolina
$322K -$13.7K -250 -4%
PWMAG
544
Pinnacle Wealth Management Advisory Group
New Jersey
$321K +$301K +5,478 New
CC
545
Centiva Capital
New York
$320K +$300K +5,463 New
AAP
546
Arax Advisory Partners
Colorado
$319K -$7.9M -143,818 -96%
CI
547
CX Institutional
Indiana
$316K +$65K +1,183 +28%
VT
548
Vise Technologies
New York
$313K +$14.8K +269 +5%
PAG
549
Private Advisor Group
New Jersey
$312K -$604 -11 -0.2%
PCS
550
Personal CFO Solutions
New Jersey
$309K -$1.32K -24 -0.5%