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Vertex Pharmaceuticals

Name Holding Trade Value Shares
Change
Change in
Stake
WANY
1051
Wealthspire Advisors (New York)
New York
$229K -$350 -1 -0.2%
CIM
1052
Chiron Investment Management
New York
$228K -$7.59M -21,714 -97%
MPWT
1053
MassMutual Private Wealth & Trust
Connecticut
$227K +$21.3K +61 +10%
EFS
1054
Essex Financial Services
Connecticut
$226K -$3.15K -9 -1%
PWMAG
1055
Pinnacle Wealth Management Advisory Group
New Jersey
$226K -$3.5K -10 -2%
TLP
1056
Trinity Legacy Partners
Texas
$225K +$226K +647 New
PFBT
1057
Parkside Financial Bank & Trust
Missouri
$224K +$17.5K +50 +8%
RA
1058
Rational Advisors
New York
$223K +$90.6K +259 +68%
BIP
1059
Blueprint Investment Partners
North Carolina
$220K -$77.3K -221 -26%
LSA
1060
Lion Street Advisors
Texas
$220K -$303K -865 -58%
WT
1061
Washington Trust
Rhode Island
$219K
PP
1062
Paloma Partners
Connecticut
$217K -$1.13M -3,224 -84%
Empower Advisory Group
1063
Empower Advisory Group
Colorado
$217K -$22.4K -64 -9%
PCH
1064
PGIM Custom Harvest
New Jersey
$216K +$3.15K +9 +1%
SF
1065
Summit Financial
New Jersey
$214K +$215K +615 New
FAB
1066
First American Bank
Illinois
$214K +$5.25K +15 +3%
NHC
1067
Nicholas Hoffman & Company
Georgia
$213K
GCM
1068
Gallacher Capital Management
Colorado
$212K +$8.39K +24 +4%
DS
1069
DRW Securities
Illinois
$212K -$327K -936 -61%
ACP
1070
Aveo Capital Partners
Colorado
$211K -$3.85K -11 -2%
SRC
1071
Sage Rhino Capital
California
$211K -$1.4K -4 -0.7%
SMA
1072
Seven Mile Advisory
New Jersey
$210K +$2.45K +7 +1%
SW
1073
SteelPeak Wealth
California
$210K -$191K -545 -47%
DFA
1074
Delta Financial Advisors
Louisiana
$210K
FFN
1075
Focus Financial Network
Minnesota
$209K