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Vertex Pharmaceuticals

Name Holding Trade Value Shares
Change
Change in
Stake
FA
426
FDx Advisors
Illinois
$676K +$15.6K +88 +2%
NSAM
427
North Star Asset Management
Wisconsin
$669K
CG
428
Cutler Group
California
$664K -$70.8K -400 -9%
HFP
429
Holistic Financial Partners
Indiana
$657K +$686K +3,877 New
CC
430
ClearArc Capital
Ohio
$656K +$11.3K +64 +2%
APW
431
Acima Private Wealth
Virginia
$653K
CI
432
Conning Inc
Connecticut
$651K
FHB
433
First Hawaiian Bank
Hawaii
$640K -$3.54K -20 -0.5%
EGM
434
Engineers Gate Manager
New York
$632K -$1.98M -11,172 -75%
CB
435
Commerce Bank
Missouri
$631K +$26K +147 +4%
MCC
436
Malaga Cove Capital
California
$627K +$654K +3,698 New
FI
437
FormulaFolio Investments
Michigan
$608K +$634K +3,586 New
PAS
438
Park Avenue Securities
New York
$587K +$21.4K +121 +4%
BRWA
439
B. Riley Wealth Advisors
Florida
$583K +$146K +824 +32%
Arrowstreet Capital
440
Arrowstreet Capital
Massachusetts
$582K -$125M -704,946 -100%
CIAS
441
Capital Investment Advisory Services
North Carolina
$582K -$8.85K -50 -1%
SOAMC
442
Spirit of America Management Corp
New York
$576K
Creative Planning
443
Creative Planning
Kansas
$573K -$33.1K -187 -5%
GG
444
Gofen & Glossberg
Illinois
$568K +$7.43K +42 +1%
EB
445
Eastern Bank
Massachusetts
$562K
CAM
446
Cubic Asset Management
Massachusetts
$542K
DTL
447
Dynamic Technology Lab
Singapore
$540K +$563K +3,185 New
BPB
448
Badgley, Phelps & Bell
Washington
$539K +$3.71K +21 +0.7%
GCC
449
Guardian Capital (Canada)
Ontario, Canada
$535K +$240K +1,355 +75%
APA
450
American Portfolios Advisors
New York
$532K +$28K +158 +5%