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XYZ

Block Inc

Name Holding Trade Value Shares
Change
Change in
Stake
SB
651
Strategic Blueprint
Georgia
$252K -$19K -269 -6%
GG
652
Gofen & Glossberg
Illinois
$252K
PA
653
Pinnacle Associates
New York
$251K -$892K -12,600 -73%
ICG
654
InterOcean Capital Group
Tennessee
$249K +$321K +4,531 New
SGA
655
Seaport Global Advisors
Massachusetts
$248K +$1.63K +23 +0.5%
Healthcare of Ontario Pension Plan (HOOPP) Trust Fund
656
Healthcare of Ontario Pension Plan (HOOPP) Trust Fund
Ontario, Canada
$247K -$1.45M -20,500 -82%
CW
657
Connectus Wealth
Ohio
$247K -$1.42K -20 -0.4%
TIS
658
Tortoise Index Solutions
Kansas
$245K -$18.9K -267 -6%
AA
659
Ancora Advisors
Ohio
$245K -$12K -169 -4%
MCM
660
MAI Capital Management
Ohio
$244K +$22.6K +319 +8%
SF
661
Synovus Financial
Georgia
$244K +$29.3K +414 +10%
CA
662
CV Advisors
Florida
$243K -$57.4K -811 -16%
DAL
663
Delta Accumulation LLC
California
$243K +$156K +2,200 +99%
Chevy Chase Trust
664
Chevy Chase Trust
Maryland
$242K -$17.4K -246 -5%
WR
665
WD Rutherford
Oregon
$242K +$312K +4,400 New
CHC
666
City Holding Co
West Virginia
$240K -$239K -3,375 -44%
BFO
667
Boston Family Office
Massachusetts
$240K -$93.1K -1,315 -23%
RA
668
RFG Advisory
Alabama
$240K +$779 +11 +0.3%
GAMC
669
Garner Asset Management Corp
Texas
$237K -$42.5K -600 -12%
AP
670
Adero Partners
California
$237K +$496 +7 +0.2%
MYLI
671
Meiji Yasuda Life Insurance
Japan
$235K -$59.5K -840 -16%
GAM
672
Grandview Asset Management
Pennsylvania
$234K -$30.9K -437 -9%
BWP
673
BSW Wealth Partners
Colorado
$234K +$21K +297 +8%
SCM
674
Schnieders Capital Management
California
$232K -$5.31K -75 -2%
AMC
675
Asset Management Corp
Illinois
$232K +$299K +4,225 New