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Vertex Pharmaceuticals

Name Holding Trade Value Shares
Change
Change in
Stake
CWP
1026
Concord Wealth Partners
Virginia
$263K +$44.8K +128 +20%
MPI
1027
Mairs & Power Inc
Minnesota
$263K +$35K +100 +15%
NAMP
1028
NorthStar Asset Management (Pennsylvania)
Pennsylvania
$261K
FAFN
1029
First Affirmative Financial Network
Colorado
$256K +$46.2K +132 +22%
OL
1030
Optas LLC
Texas
$256K +$6.64K +19 +3%
CM
1031
Castleark Management
Illinois
$254K
NB
1032
Nicolet Bankshares
Wisconsin
$245K
AA
1033
Alta Advisers
United Kingdom
$243K
NJBEST
1034
New Jersey Better Educational Savings Trust
New Jersey
$243K
CA
1035
CoreCap Advisors
Michigan
$243K +$245K +700 New
HH
1036
Hilltop Holdings
Texas
$241K -$3.85K -11 -2%
PCM
1037
Parsons Capital Management
Rhode Island
$239K
BC
1038
Burney Company
Virginia
$238K +$20.3K +58 +9%
BCA
1039
Bay Colony Advisors
Massachusetts
$237K -$13.6K -39 -5%
1WA
1040
180 Wealth Advisors
Washington
$237K +$699 +2 +0.3%
BAM
1041
Belpointe Asset Management
Nevada
$236K -$83.9K -240 -26%
SA
1042
Syntax Advisors
New York
$236K -$4.2K -12 -2%
VCG
1043
Vantage Consulting Group
Virginia
$236K -$4.2K -12 -2%
VVP
1044
Venture Visionary Partners
Ohio
$234K -$1.4K -4 -0.6%
WA
1045
WESPAC Advisors
California
$233K +$234K +670 New
PCA
1046
Pallas Capital Advisors
Massachusetts
$233K +$4.9K +14 +2%
BIA
1047
Biondo Investment Advisors
Pennsylvania
$231K -$35K -100 -13%
SMA
1048
Sage Mountain Advisors
Georgia
$231K +$15.7K +45 +7%
Parnassus Investments
1049
Parnassus Investments
California
$231K +$17.5K +50 +8%
CAMV
1050
Concord Asset Management (Virginia)
Virginia
$230K +$231K +661 New