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Vertex Pharmaceuticals

Name Holding Trade Value Shares
Change
Change in
Stake
FOA
1226
Five Oceans Advisors
California
$233K -$461 -1 -0.2%
AHL
1227
Abel Hall LLC
Louisiana
$232K -$21.7K -47 -8%
VAG
1228
VisionPoint Advisory Group
Texas
$232K +$240K +520 New
TFA
1229
Teamwork Financial Advisors
Texas
$231K -$94K -204 -28%
FFA
1230
First Foundation Advisors
California
$229K +$237K +515 New
BBA
1231
BLB&B Advisors
Pennsylvania
$229K
NF
1232
Nvest Financial
New Hampshire
$228K +$6.45K +14 +3%
GI
1233
GAMCO Investors
Connecticut
$228K +$236K +512 New
MPM
1234
MBB Public Markets
Illinois
$227K -$53.5K -116 -19%
MA
1235
Montag & Associates
Georgia
$227K +$11.5K +25 +5%
UAML
1236
US Asset Management LLC
Pennsylvania
$226K
TLP
1237
Trinity Legacy Partners
Texas
$225K
MCM
1238
Manchester Capital Management
Vermont
$225K -$9.22K -20 -4%
DE
1239
Diversified Enterprises
Delaware
$225K -$19.4K -42 -8%
MFC
1240
Morris Financial Concepts
South Carolina
$224K -$4.61K -10 -2%
DCM
1241
DGS Capital Management
New Jersey
$224K +$232K +504 New
ST
1242
Smithfield Trust
Pennsylvania
$224K
CWM
1243
Centurion Wealth Management
Virginia
$223K +$231K +501 New
AFA
1244
Arlington Financial Advisors
California
$223K -$18.4K -40 -7%
MG
1245
McHugh Group
Ohio
$223K
MCM
1246
Mengis Capital Management
Oregon
$223K +$230K +500 New
KWM
1247
Kingsview Wealth Management
Oregon
$222K -$21.2K -46 -8%
GAG
1248
GM Advisory Group
New York
$222K -$6.45K -14 -3%
IAIM
1249
International Assets Investment Management
Florida
$222K -$25.3K -55 -10%
CAM
1250
Columbia Asset Management
Michigan
$222K +$229K +498 New