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Trane Technologies

Name Holding Trade Value Shares
Change
Change in
Stake
HI
1301
Harbour Investments
Wisconsin
$253K -$120K -291 -31%
UAG
1302
United Advisor Group
Ohio
$253K -$21.9K -53 -8%
ST
1303
Smithfield Trust
Pennsylvania
$251K
IC
1304
Inscription Capital
Texas
$250K -$82.3K -199 -24%
FOA
1305
Five Oceans Advisors
California
$250K +$1.24K +3 +0.5%
MG
1306
Marex Group
$250K -$120K -290 -31%
ANBOT
1307
American National Bank of Texas
Texas
$249K +$6.62K +16 +3%
CBUSF
1308
Construction & Building Unions Superannuation Fund
Australia
$249K -$1.35M -3,260 -84%
LAS
1309
LWM Advisory Services
Florida
$249K -$4.14K -10 -2%
MFG
1310
MTM Financial Group
Pennsylvania
$249K
PA
1311
Procyon Advisors
Connecticut
$249K -$79K -191 -23%
IWC
1312
Integrated Wealth Concepts
Massachusetts
$248K -$998K -2,413 -79%
QFA
1313
Quantum Financial Advisors
California
$248K +$414 +1 +0.2%
AIM
1314
Athena Investment Management
California
$246K
CWG
1315
Cornerstone Wealth Group
North Carolina
$246K +$13.2K +32 +5%
NICM
1316
Neo Ivy Capital Management
New York
$246K -$1.7M -4,108 -87%
MEG
1317
Millstone Evans Group
Colorado
$246K
DM
1318
Diversified Management
Wisconsin
$245K +$261K +630 New
CCM
1319
Crew Capital Management
Ohio
$244K
FMTC
1320
Farmers & Merchants Trust Company
California
$244K
PL
1321
Plancorp LLC
Missouri
$244K -$4.55K -11 -2%
MA
1322
MJP Associates
Connecticut
$243K +$5.38K +13 +2%
CPW
1323
Cove Private Wealth
New York
$242K
GCA
1324
Genesee Capital Advisors
New York
$242K
SB
1325
Simmons Bank
Arkansas
$241K