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Trane Technologies

Name Holding Trade Value Shares
Change
Change in
Stake
FOA
1251
Five Oceans Advisors
California
$270K -$7.69K -18 -3%
MFG
1252
MTM Financial Group
Pennsylvania
$270K
ACM
1253
Aster Capital Management
United Arab Emirates
$270K +$273K +639 New
PL
1254
Plancorp LLC
Missouri
$269K +$2.14K +5 +0.8%
QFA
1255
Quantum Financial Advisors
California
$269K
ST
1256
Smithfield Trust
Pennsylvania
$268K
AIM
1257
Athena Investment Management
California
$267K
AIC
1258
Archer Investment Corporation
Indiana
$267K
MEG
1259
Millstone Evans Group
Colorado
$267K
JIC
1260
Joel Isaacson & Co
New York
$266K
PFM
1261
Patton Fund Management
Texas
$265K +$269K +629 New
AFW
1262
Avantra Family Wealth
Pennsylvania
$265K -$30.3K -71 -10%
CCM
1263
Crew Capital Management
Ohio
$265K
FMTC
1264
Farmers & Merchants Trust Company
California
$265K -$835K -1,953 -76%
AFGAS
1265
Allegiance Financial Group Advisory Services
Virginia
$265K -$3.85K -9 -1%
ANBOT
1266
American National Bank of Texas
Texas
$264K +$267K +625 New
CPW
1267
Cove Private Wealth
New York
$262K
GCA
1268
Genesee Capital Advisors
New York
$262K
SB
1269
Simmons Bank
Arkansas
$262K -$40.2K -94 -13%
PRS
1270
Pinkerton Retirement Specialists
Idaho
$262K -$12.8K -30 -5%
PWP
1271
Private Wealth Partners
California
$262K +$49.1K +115 +23%
OC
1272
Oarsman Capital
Wisconsin
$260K
MFP
1273
Meridian Financial Partners
Virginia
$260K
OL
1274
OneFund LLC
Florida
$259K +$8.12K +19 +3%
MA
1275
MJP Associates
Connecticut
$257K -$34.2K -80 -12%