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Vertex Pharmaceuticals

Name Holding Trade Value Shares
Change
Change in
Stake
EI
651
Ethic Inc
New York
$481K -$368K -1,894 -46%
HI
652
Humankind Investments
New York
$479K +$68.4K +352 +19%
NFG
653
Next Financial Group
Texas
$469K +$332K +1,707 +399%
KLWA
654
Kelly Lawrence W & Associates
California
$468K
CGL
655
Clarius Group LLC
Washington
$466K -$14.8K -76 -3%
SIC
656
Sigma Investment Counselors
Michigan
$465K +$24.7K +127 +6%
HIM
657
Hillsdale Investment Management
Ontario, Canada
$463K +$6.81K +35 +2%
QTM
658
qPULA Trading Management
New York
$463K +$159K +816 +63%
KA
659
Kovack Advisors
Florida
$462K +$409K +2,105 New
CI
660
Conning Inc
Connecticut
$460K -$77.6K -399 -16%
DU
661
Delphia (USA)
Ontario, Canada
$455K +$403K +2,071 New
PFWA
662
Paces Ferry Wealth Advisors
Georgia
$453K -$18.7K -96 -4%
CG
663
Cutler Group
California
$447K -$313K -1,610 -44%
CANY
664
Caxton Associates (New York)
New York
$446K -$466K -2,396 -54%
DWM
665
Dakota Wealth Management
Florida
$439K
AFG
666
Allegheny Financial Group
Pennsylvania
$439K +$389K +2,000 New
SCA
667
Spearhead Capital Advisors
Florida
$438K +$2.92K +15 +0.8%
HW
668
Hancock Whitney
Mississippi
$436K +$4.67K +24 +1%
MPM
669
MBB Public Markets
Illinois
$436K +$386K +1,984 New
MCC
670
Money Concepts Capital
Florida
$435K +$386K +1,983 New
IAN
671
Integrated Advisors Network
Texas
$431K +$58.7K +302 +18%
ASN
672
Advisory Services Network
Georgia
$419K -$154K -793 -29%
VIM
673
Vista Investment Management
Pennsylvania
$418K -$5.06K -26 -1%
HA
674
Harfst & Associates
Wyoming
$416K -$231K -1,189 -39%
RIA
675
Regal Investment Advisors
Michigan
$412K +$3.31K +17 +0.9%