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Vertex Pharmaceuticals

Name Holding Trade Value Shares
Change
Change in
Stake
CWM
751
Connecticut Wealth Management
Connecticut
$1.29M -$5.07K -11 -0.4%
PFA
752
Pure Financial Advisors
California
$1.29M +$950K +2,062 +249%
MWC
753
MBM Wealth Consultants
Missouri
$1.28M +$47.5K +103 +4%
BIG
754
Brooklyn Investment Group
New York
$1.27M +$77K +167 +6%
GL
755
Graypoint LLC
New York
$1.26M -$34.6K -75 -3%
WC
756
Westerkirk Capital
$1.25M +$1.29M +2,800 New
SFS
757
Sowell Financial Services
Arkansas
$1.25M -$13.4K -29 -1%
PCC
758
Park Circle Company
Maryland
$1.23M
WBC
759
Westpac Banking Corp
Australia
$1.22M +$33.2K +72 +3%
LGF
760
LGT Group Foundation
Liechtenstein
$1.22M -$299K -649 -19%
TSMHT
761
Thurston Springer Miller Herd & Titak
Indiana
$1.21M +$255K +553 +25%
VCM
762
Voleon Capital Management
California
$1.2M -$1.41M -3,060 -53%
LA
763
Lifeworks Advisors
Michigan
$1.18M -$231K -501 -16%
ECM
764
Evergreen Capital Management
Washington
$1.18M -$68.7K -149 -5%
HGA
765
Hobbs Group Advisors
South Carolina
$1.16M -$276K -599 -19%
ETC
766
Exchange Traded Concepts
Oklahoma
$1.15M -$17.1K -37 -1%
IWA
767
Icon Wealth Advisors
Texas
$1.15M +$40.6K +88 +4%
NG
768
Norden Group
Utah
$1.15M +$363K +787 +44%
MAM
769
Milestone Asset Management
Pennsylvania
$1.13M +$1.17M +2,548 New
CA
770
Claro Advisors
Massachusetts
$1.13M -$181K -392 -13%
CI
771
Cigna Investments
Connecticut
$1.13M -$29K -63 -2%
HL
772
HeadInvest LLC
Maine
$1.13M -$219K -476 -16%
AFG
773
Atomi Financial Group
New York
$1.12M -$147K -318 -11%
CI
774
Clal Insurance
Israel
$1.12M +$1.14M +2,465 +4,482%
SC
775
Savant Capital
Illinois
$1.12M +$151K +327 +15%