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Name Holding Trade Value Shares
Change
Change in
Stake
BIM
676
Bridges Investment Management
Nebraska
$7.75M +$292K +3,392 +4%
PMG
677
ProVise Management Group
Florida
$7.75M +$215K +2,500 +3%
BF
678
BOK Financial
Oklahoma
$7.72M +$288K +3,349 +4%
BCAM
679
Boston Common Asset Management
Massachusetts
$7.71M -$88.1K -1,024 -1%
FMII
680
Farmers & Merchants Investments Inc
Nebraska
$7.68M +$465K +5,400 +7%
BONST
681
Bank of Nova Scotia Trust
Ontario, Canada
$7.66M +$511K +5,943 +7%
CCT
682
Chemung Canal Trust
New York
$7.64M +$582K +6,763 +9%
JCM
683
Jafra Capital Management
New York
$7.6M +$7.36M +85,538 New
SIRP
684
Shelter Insurance Retirement Plan
Missouri
$7.58M
LNB
685
Ledyard National Bank
$7.55M -$20.4K -237 -0.3%
RIL
686
Rothschild Investment LLC
Illinois
$7.52M +$1.24M +14,453 +21%
VC
687
Vestor Capital
Illinois
$7.51M -$18.9K -220 -0.3%
PAM
688
Peak Asset Management
Colorado
$7.5M -$6.19K -72 -0.1%
SG Americas Securities
689
SG Americas Securities
New York
$7.5M -$92.2M -1,072,107 -93%
APFBOT
690
Amica Pension Fund Board of Trustees
Rhode Island
$7.49M
CWM
691
Catamount Wealth Management
Connecticut
$7.42M +$28.9K +336 +0.4%
OCM
692
Oribel Capital Management
New York
$7.39M +$5.87M +68,200 +455%
PP
693
Patten & Patten
Tennessee
$7.38M +$73.1K +850 +1%
BOTW
694
Bank of the West
California
$7.38M -$2.32K -27 -0%
RW
695
Rand Wealth
Maryland
$7.33M +$481K +5,590 +7%
CS
696
Credential Securities
$7.31M +$1.18M +13,672 +20%
B
697
Bailard
California
$7.3M -$99.6K -1,158 -1%
VFCM
698
Valley Forge Capital Management
Florida
$7.29M
CGI
699
CI Global Investments
California
$7.28M -$417K -4,850 -6%
CTA
700
Colonial Trust Advisors
South Carolina
$7.28M +$111K +1,290 +2%