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ExxonMobil

Name Holding Trade Value Shares
Change
Change in
Stake
CB
1001
Community Bank
New York
$10.1M -$206K -1,409 -2%
NP
1002
Nilsine Partners
Colorado
$10.1M +$833K +5,709 +9%
CT
1003
Caldwell Trust
Florida
$10.1M +$273K +1,868 +3%
AIA
1004
AssuredPartners Investment Advisors
Florida
$10.1M +$1.29M +8,845 +17%
OCAM
1005
Onex Canada Asset Management
Ontario, Canada
$10.1M -$302K -2,071 -3%
SP
1006
Sherman Porfolios
Idaho
$10M +$2.25M +15,429 +35%
CPIG
1007
Chicago Partners Investment Group
Illinois
$10M +$287K +1,967 +3%
AIM
1008
Adapt Investment Managers
Switzerland
$10M +$8.62M +59,100 New
Q
1009
QVR
California
$10M +$7.14M +48,918 +482%
BCA
1010
Bay Colony Advisors
Massachusetts
$10M -$15.6K -107 -0.2%
FCMT
1011
Founders Capital Management (Texas)
Texas
$10M +$43.3K +297 +0.5%
RTM
1012
RH Tailwind Management
Pennsylvania
$10M +$8.61M +59,000 New
MTC
1013
McDaniel Terry & Co
Texas
$9.99M
AHC
1014
Anderson Hoagland & Co
Missouri
$9.98M -$1.18M -8,086 -12%
CAC
1015
Core Alternative Capital
Georgia
$9.98M -$1.45M -9,933 -14%
MIP
1016
Marietta Investment Partners
Wisconsin
$9.95M +$1.56M +10,680 +22%
AWA
1017
Aaron Wealth Advisors
Illinois
$9.95M -$54.4K -373 -0.6%
EFM
1018
E Fund Management
China
$9.94M +$8.55M +58,569 New
BP
1019
Ballentine Partners
Massachusetts
$9.92M +$188K +1,291 +2%
WT
1020
Washington Trust
Rhode Island
$9.9M +$71.2K +488 +0.8%
PIA
1021
Petredis Investment Advisors
Pennsylvania
$9.9M -$80K -548 -0.9%
RIA
1022
Recurrent Investment Advisors
Texas
$9.89M +$131K +900 +2%
PAM
1023
Palisade Asset Management
Minnesota
$9.87M -$38.4K -263 -0.5%
PSCM
1024
Per Stirling Capital Management
Texas
$9.87M +$20.7K +142 +0.2%
OWP
1025
ORG Wealth Partners
Texas
$9.86M +$319K +2,184 +4%