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Bridgewater Advisors Inc. Buys New Position in Thermo Fisher Scientific Inc. $TMO

Bridgewater Advisors Inc. bought a new stake in shares of Thermo Fisher Scientific Inc. (NYSE:TMO - Free Report) during the 2nd quarter, according to the company in its most recent Form 13F filing with the SEC. The firm bought 2,380 shares of the medical research company's stock, valued at approxim

NYSE:TMO
Read Bridgewater Advisors Inc. Buys New Position in Thermo Fisher Scientific Inc. $TMO
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Amgen Inc. $AMGN Shares Bought by Bridgewater Advisors Inc.

Bridgewater Advisors Inc. boosted its holdings in shares of Amgen Inc. (NASDAQ:AMGN - Free Report) by 114.5% in the second quarter, according to its most recent filing with the Securities and Exchange Commission. The fund owned 5,459 shares of the medical research company's stock after buying an ad

NASDAQ:AMGN
Read Amgen Inc. $AMGN Shares Bought by Bridgewater Advisors Inc.
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Fifth Third Bancorp Decreases Stock Position in ASML Holding N.V. $ASML

Fifth Third Bancorp cut its position in ASML Holding N.V. (NASDAQ:ASML - Free Report) by 6.2% during the second quarter, according to its most recent Form 13F filing with the Securities and Exchange Commission (SEC). The fund owned 10,413 shares of the semiconductor company's stock after selling 68

NASDAQ:ASML
Read Fifth Third Bancorp Decreases Stock Position in ASML Holding N.V. $ASML
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Fifth Third Bancorp Has $85.03 Million Stock Position in ConocoPhillips $COP

Fifth Third Bancorp cut its stake in ConocoPhillips (NYSE:COP - Free Report) by 1.5% during the 2nd quarter, according to its most recent Form 13F filing with the Securities and Exchange Commission (SEC). The fund owned 817,934 shares of the energy producer's stock after selling 12,106 shares durin

NYSE:COP
Read Fifth Third Bancorp Has $85.03 Million Stock Position in ConocoPhillips $COP
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Amgen Inc. $AMGN Stock Holdings Lessened by Fifth Third Bancorp

Fifth Third Bancorp reduced its stake in shares of Amgen Inc. (NASDAQ:AMGN - Free Report) by 4.9% in the 2nd quarter, according to the company in its most recent Form 13F filing with the SEC. The firm owned 438,431 shares of the medical research company's stock after selling 22,776 shares during th

NASDAQ:AMGN
Read Amgen Inc. $AMGN Stock Holdings Lessened by Fifth Third Bancorp
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Carnegie Investment Counsel Has $2.32 Million Stock Position in AT&T Inc. $T

Carnegie Investment Counsel increased its holdings in AT&T Inc. (NYSE:T - Free Report) by 142.2% in the 2nd quarter, according to the company in its most recent 13F filing with the Securities and Exchange Commission. The institutional investor owned 112,204 shares of the technology company's stock

NYSE:T
Read Carnegie Investment Counsel Has $2.32 Million Stock Position in AT&T Inc. $T

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Daiwa Securities Group Inc. Lowers Position in AT&T Inc. $T

NYSE:T
Read Daiwa Securities Group Inc. Lowers Position in AT&T Inc. $T
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Cambiar Investors LLC Has $47.89 Million Holdings in Medtronic PLC $MDT

NYSE:MDT
Read Cambiar Investors LLC Has $47.89 Million Holdings in Medtronic PLC $MDT
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Medtronic PLC $MDT Shares Sold by Convergence Investment Partners LLC

NYSE:MDT
Read Medtronic PLC $MDT Shares Sold by Convergence Investment Partners LLC
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Gateway Wealth Partners LLC Sells 15,740 Shares of Walmart Inc. $WMT

NASDAQ:WMT
Read Gateway Wealth Partners LLC Sells 15,740 Shares of Walmart Inc. $WMT
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Philip Morris International Inc. $PM is Bronte Capital Management Pty Ltd.'s 7th Largest Position

NYSE:PM
Read Philip Morris International Inc. $PM is Bronte Capital Management Pty Ltd.'s 7th Largest Position
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Glynn Capital Management LLC Boosts Stock Holdings in Advanced Micro Devices, Inc. $AMD

NASDAQ:AMD
Read Glynn Capital Management LLC Boosts Stock Holdings in Advanced Micro Devices, Inc. $AMD
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Applied Materials, Inc. $AMAT Shares Acquired by Caitong International Asset Management Co. Ltd

NASDAQ:AMAT
Read Applied Materials, Inc. $AMAT Shares Acquired by Caitong International Asset Management Co. Ltd
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ASML Holding N.V. $ASML Stake Raised by Caitong International Asset Management Co. Ltd

NASDAQ:ASML
Read ASML Holding N.V. $ASML Stake Raised by Caitong International Asset Management Co. Ltd
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Advanced Micro Devices, Inc. $AMD is Caitong International Asset Management Co. Ltd's Largest Position

NASDAQ:AMD
Read Advanced Micro Devices, Inc. $AMD is Caitong International Asset Management Co. Ltd's Largest Position
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Cape ANN Savings Bank Reduces Stock Position in Applied Materials, Inc. $AMAT

NASDAQ:AMAT
Read Cape ANN Savings Bank Reduces Stock Position in Applied Materials, Inc. $AMAT
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Founders Financial Alliance LLC Has $5.92 Million Holdings in Advanced Micro Devices, Inc. $AMD

NASDAQ:AMD
Read Founders Financial Alliance LLC Has $5.92 Million Holdings in Advanced Micro Devices, Inc. $AMD
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Cascade Financial Partners LLC Trims Position in Advanced Micro Devices, Inc. $AMD

NASDAQ:AMD
Read Cascade Financial Partners LLC Trims Position in Advanced Micro Devices, Inc. $AMD
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Advanced Micro Devices, Inc. $AMD is Fagan Associates Inc.'s 3rd Largest Position

NASDAQ:AMD
Read Advanced Micro Devices, Inc. $AMD is Fagan Associates Inc.'s 3rd Largest Position
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English Capital Management LLC Lowers Stock Position in Applied Materials, Inc. $AMAT

NASDAQ:AMAT
Read English Capital Management LLC Lowers Stock Position in Applied Materials, Inc. $AMAT
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Boomfish Wealth Group LLC Sells 2,310 Shares of Advanced Micro Devices, Inc. $AMD

NASDAQ:AMD
Read Boomfish Wealth Group LLC Sells 2,310 Shares of Advanced Micro Devices, Inc. $AMD
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Chilton Capital Management LLC Has $38.87 Million Position in Waste Management, Inc. $WM

NYSE:WM
Read Chilton Capital Management LLC Has $38.87 Million Position in Waste Management, Inc. $WM
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Eli Lilly and Company $LLY Position Lowered by Chilton Capital Management LLC

NYSE:LLY
Read Eli Lilly and Company $LLY Position Lowered by Chilton Capital Management LLC
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Chilton Capital Management LLC Boosts Position in Alphabet Inc. $GOOG

NASDAQ:GOOG
Read Chilton Capital Management LLC Boosts Position in Alphabet Inc. $GOOG
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Gateway Wealth Partners LLC Has $3.15 Million Stock Holdings in Eli Lilly and Company $LLY

NYSE:LLY
Read Gateway Wealth Partners LLC Has $3.15 Million Stock Holdings in Eli Lilly and Company $LLY
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Alphabet Inc. $GOOG Stock Holdings Lowered by Gateway Wealth Partners LLC

NASDAQ:GOOG
Read Alphabet Inc. $GOOG Stock Holdings Lowered by Gateway Wealth Partners LLC
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Commonwealth Retirement Investments LLC Lowers Position in Mondelez International, Inc. $MDLZ

NASDAQ:MDLZ
Read Commonwealth Retirement Investments LLC Lowers Position in Mondelez International, Inc. $MDLZ
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Alphabet Inc. $GOOG Shares Purchased by BIP Wealth LLC

NASDAQ:GOOG
Read Alphabet Inc. $GOOG Shares Purchased by BIP Wealth LLC
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Everett Harris & Co. CA Purchases New Holdings in Phillips 66 $PSX

NYSE:PSX
Read Everett Harris & Co. CA Purchases New Holdings in Phillips 66 $PSX
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Everett Harris & Co. CA Takes $7.92 Million Position in Thermo Fisher Scientific Inc. $TMO

NYSE:TMO
Read Everett Harris & Co. CA Takes $7.92 Million Position in Thermo Fisher Scientific Inc. $TMO

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