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Vertex Pharmaceuticals

Name Holding Trade Value Shares
Change
Change in
Stake
ICP
1326
Interchange Capital Partners
Pennsylvania
$254K -$181K -408 -44%
CIA
1327
Caerus Investment Advisors
Texas
$253K +$226K +510 New
CBT
1328
Central Bank & Trust
Kentucky
$253K +$226K +510 New
CM
1329
Capula Management
Cayman Islands
$253K +$116K +262 +106%
THL
1330
Tillman Hartley LLC
Colorado
$252K – – –
LA
1331
Legacy Advisors
Pennsylvania
$252K +$225K +508 New
AIM
1332
Axiom Investment Management
New York
$252K -$55.8K -126 -20%
BBA
1333
BLB&B Advisors
Pennsylvania
$251K -$6.21K -14 -3%
FOA
1334
Five Oceans Advisors
California
$251K -$886 -2 -0.4%
UAML
1335
US Asset Management LLC
Pennsylvania
$250K – – –
HWA
1336
Heartwood Wealth Advisors
Virginia
$250K -$3.54K -8 -2%
SH
1337
SLT Holdings
Arizona
$250K +$8.86K +20 +4%
BCM
1338
Brookstone Capital Management
Illinois
$248K +$1.33K +3 +0.6%
AFA
1339
Arlington Financial Advisors
California
$248K – – –
BI
1340
Bramshill Investments
Florida
$248K – – –
MG
1341
McHugh Group
Ohio
$248K – – –
RCWM
1342
Royal Capital Wealth Management
Indiana
$248K +$222K +500 New
CB
1343
Community Bank
New York
$248K -$168K -380 -43%
DBRC
1344
D.B. Root & Company
Pennsylvania
$248K -$68.7K -155 -24%
FCG
1345
Fielder Capital Group
Tennessee
$248K -$34.1K -77 -13%
FFN
1346
Focus Financial Network
Minnesota
$247K +$2.22K +5 +1%
ST
1347
Smithfield Trust
Pennsylvania
$247K – – –
BT
1348
Banque Transatlantique
France
$246K +$18.6K +42 +9%
SIC
1349
Salem Investment Counselors
North Carolina
$245K – – –
EL
1350
EWA LLC
Pennsylvania
$245K +$5.32K +12 +3%