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Vertex Pharmaceuticals

Name Holding Trade Value Shares
Change
Change in
Stake
AM
1251
AGF Management
Ontario, Canada
$258K -$3.09M -7,167 -93%
EW
1252
Elyxium Wealth
California
$257K +$19.8K +46 +9%
RPWA
1253
Regent Peak Wealth Advisors
Georgia
$257K +$13.4K +31 +6%
AAMC
1254
Asset Allocation & Management Company
Illinois
$257K
AWM
1255
Axxcess Wealth Management
California
$256K +$244K +565 New
OWA
1256
Opal Wealth Advisors
New York
$254K +$242K +561 New
CFM
1257
Catalyst Funds Management
Australia
$254K +$241K +560 New
Empower Advisory Group
1258
Empower Advisory Group
Colorado
$253K -$12.5K -29 -5%
BM
1259
Berman McAleer
Maryland
$253K -$17.2K -40 -7%
QC
1260
Quent Capital
New York
$253K +$24.1K +56 +11%
QLSGSCF
1261
Quent Long Short Global Small Cap Fund
New York
$253K +$240K +557 New
MMG
1262
Monetary Management Group
Missouri
$252K
NF
1263
Nvest Financial
New Hampshire
$251K +$2.15K +5 +0.9%
HDIM
1264
Hanson & Doremus Investment Management
Vermont
$251K +$8.62K +20 +4%
PIA
1265
Pinion Investment Advisors
Kansas
$250K -$33.6K -78 -12%
CIS
1266
Custom Index Systems
New York
$249K
FPCP
1267
Fort Point Capital Partners
California
$248K -$9.05K -21 -4%
CWS
1268
Confluence Wealth Services
Pennsylvania
$247K +$9.05K +21 +4%
STS
1269
SG Trading Solutions
Utah
$247K +$234K +544 New
BFA
1270
Beacon Financial Advisory
Ohio
$246K +$234K +542 New
CIA
1271
Cladis Investment Advisory
Montana
$246K +$234K +542 New
BCP
1272
Blackhawk Capital Partners
Wisconsin
$245K -$2.59K -6 -1%
THL
1273
Tillman Hartley LLC
Colorado
$245K +$1.72K +4 +0.7%
PTC
1274
Private Trust Company
Ohio
$245K +$3.45K +8 +2%
BT
1275
Banque Transatlantique
France
$244K -$32.3K -75 -12%