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Vertex Pharmaceuticals

Name Holding Trade Value Shares
Change
Change in
Stake
RCA
876
Roberts Capital Advisors
Colorado
$161K
IFAM
877
Institutional & Family Asset Management
Colorado
$160K -$1.19K -5 -0.8%
BDS
878
Banco de Sabadell
Florida
$150K -$40.6K -171 -23%
SMG
879
Spectrum Management Group
Indiana
$146K
VCM
880
Vigilant Capital Management
Maine
$144K -$107K -450 -45%
AF
881
Allworth Financial
California
$142K +$2.61K +11 +2%
UAML
882
US Asset Management LLC
Pennsylvania
$141K +$129K +542 New
MCC
883
Money Concepts Capital
Florida
$138K -$345K -1,454 -73%
CCM
884
Covington Capital Management
California
$137K +$43K +181 +53%
TAIM
885
TD Ameritrade Investment Management
Nebraska
$136K -$7.12K -30 -5%
ST
886
Smithfield Trust
Pennsylvania
$135K -$4.27K -18 -3%
KPCM
887
Kings Point Capital Management
New York
$130K
NR
888
Newfound Research
Massachusetts
$128K -$47.7K -201 -29%
CT
889
Cambridge Trust
Massachusetts
$127K -$22.5K -95 -16%
CA
890
Crewe Advisors
Utah
$121K +$75.9K +320 +221%
HFM
891
Harvest Fund Management
China
$117K +$107K +450 New
GWM
892
Geneos Wealth Management
Colorado
$116K +$28.5K +120 +37%
DWP
893
Destiny Wealth Partners
Florida
$114K +$96.6K +407 +1,403%
LWA
894
Lenox Wealth Advisors
New York
$110K -$12.1K -51 -12%
ME
895
McIlrath & Eck
Washington
$104K
QT
896
Quantbot Technologies
New York
$104K +$95.2K +401 New
FFA
897
Fairfield Financial Advisors
Massachusetts
$103K +$93.7K +395 New
DMBA
898
Deseret Mutual Benefit Administrators
Utah
$102K +$949 +4 +1%
PFBT
899
Parkside Financial Bank & Trust
Missouri
$99K +$7.12K +30 +9%
AA
900
Ancora Advisors
Ohio
$98K +$29.7K +125 +50%