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Byrne Asset Management LLC Makes New Investment in GE Aerospace $GE

Byrne Asset Management LLC bought a new stake in shares of GE Aerospace (NYSE:GE - Free Report) in the 2nd quarter, according to the company in its most recent 13F filing with the Securities and Exchange Commission (SEC). The fund bought 4,887 shares of the company's stock, valued at approximately

NYSE:GE
Read Byrne Asset Management LLC Makes New Investment in GE Aerospace $GE
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Advanced Micro Devices, Inc. $AMD Stock Holdings Reduced by Byrne Asset Management LLC

Byrne Asset Management LLC lowered its position in Advanced Micro Devices, Inc. (NASDAQ:AMD - Free Report) by 21.6% during the second quarter, according to the company in its most recent 13F filing with the Securities and Exchange Commission (SEC). The firm owned 8,858 shares of the semiconductor m

NASDAQ:AMD
Read Advanced Micro Devices, Inc. $AMD Stock Holdings Reduced by Byrne Asset Management LLC
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Clark Asset Management LLC Buys 9,368 Shares of Analog Devices, Inc. $ADI

Clark Asset Management LLC boosted its stake in shares of Analog Devices, Inc. (NASDAQ:ADI - Free Report) by 521.3% in the 2nd quarter, according to its most recent disclosure with the SEC. The institutional investor owned 11,165 shares of the semiconductor company's stock after acquiring an addit

NASDAQ:ADI
Read Clark Asset Management LLC Buys 9,368 Shares of Analog Devices, Inc. $ADI
Teradyne logo with Technology background

Chapin Davis Inc. Sells 31,370 Shares of Teradyne, Inc. $TER

Chapin Davis Inc. cut its position in Teradyne, Inc. (NASDAQ:TER - Free Report) by 98.7% in the second quarter, according to its most recent Form 13F filing with the SEC. The institutional investor owned 420 shares of the company's stock after selling 31,370 shares during the quarter. Chapin Davis

NASDAQ:TER
Read Chapin Davis Inc. Sells 31,370 Shares of Teradyne, Inc. $TER
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180 Wealth Advisors LLC Lowers Holdings in Medtronic PLC $MDT

180 Wealth Advisors LLC decreased its holdings in shares of Medtronic PLC (NYSE:MDT - Free Report) by 75.0% in the 2nd quarter, according to the company in its most recent Form 13F filing with the Securities & Exchange Commission. The fund owned 9,951 shares of the medical technology company's

NYSE:MDT
Read 180 Wealth Advisors LLC Lowers Holdings in Medtronic PLC $MDT
Sotera Health logo with Healthcare background

Balefire LLC Lowers Position in Sotera Health Company $SHC

Balefire LLC trimmed its holdings in shares of Sotera Health Company (NASDAQ:SHC - Free Report) by 56.7% in the second quarter, according to its most recent 13F filing with the Securities and Exchange Commission. The fund owned 44,533 shares of the company's stock after selling 58,401 shares during

NASDAQ:SHC
Read Balefire LLC Lowers Position in Sotera Health Company $SHC

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Taiwan Semiconductor Manufacturing logo with Technology background

Avior Wealth Management LLC Trims Stake in Taiwan Semiconductor Manufacturing Company Ltd. $TSM

NYSE:TSM
Read Avior Wealth Management LLC Trims Stake in Taiwan Semiconductor Manufacturing Company Ltd. $TSM
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Qualcomm Incorporated $QCOM Stock Position Lowered by Avior Wealth Management LLC

NASDAQ:QCOM
Read Qualcomm Incorporated $QCOM Stock Position Lowered by Avior Wealth Management LLC
Archer Daniels Midland logo with Consumer Staples background

180 Wealth Advisors LLC Buys New Stake in Archer Daniels Midland Company $ADM

NYSE:ADM
Read 180 Wealth Advisors LLC Buys New Stake in Archer Daniels Midland Company $ADM
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180 Wealth Advisors LLC Purchases New Stake in Valero Energy Corporation $VLO

NYSE:VLO
Read 180 Wealth Advisors LLC Purchases New Stake in Valero Energy Corporation $VLO
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Balefire LLC Sells 16,160 Shares of Coca Cola Femsa S.A.B. de C.V. $KOF

NYSE:KOF
Read Balefire LLC Sells 16,160 Shares of Coca Cola Femsa S.A.B. de C.V. $KOF
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Balefire LLC Reduces Position in Rentokil Initial PLC $RTO

NYSE:RTO
Read Balefire LLC Reduces Position in Rentokil Initial PLC $RTO
Valvoline logo with Consumer Discretionary background

Balefire LLC Sells 64,456 Shares of Valvoline $VVV

NYSE:VVV
Read Balefire LLC Sells 64,456 Shares of Valvoline $VVV
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Balefire LLC Sells 12,141 Shares of IQVIA Holdings Inc. $IQV

NYSE:IQV
Read Balefire LLC Sells 12,141 Shares of IQVIA Holdings Inc. $IQV
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Balefire LLC Sells 25,744 Shares of Medtronic PLC $MDT

NYSE:MDT
Read Balefire LLC Sells 25,744 Shares of Medtronic PLC $MDT
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Avior Wealth Management LLC Has $1.27 Million Position in Kinder Morgan, Inc. $KMI

NYSE:KMI
Read Avior Wealth Management LLC Has $1.27 Million Position in Kinder Morgan, Inc. $KMI
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Citigroup Inc. $C Shares Sold by Avior Wealth Management LLC

NYSE:C
Read Citigroup Inc. $C Shares Sold by Avior Wealth Management LLC
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Avior Wealth Management LLC Cuts Stock Holdings in Marvell Technology, Inc. $MRVL

NASDAQ:MRVL
Read Avior Wealth Management LLC Cuts Stock Holdings in Marvell Technology, Inc. $MRVL
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Avior Wealth Management LLC Decreases Holdings in Comfort Systems USA, Inc. $FIX

NYSE:FIX
Read Avior Wealth Management LLC Decreases Holdings in Comfort Systems USA, Inc. $FIX
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Avior Wealth Management LLC Lowers Stake in Abbott Laboratories $ABT

NYSE:ABT
Read Avior Wealth Management LLC Lowers Stake in Abbott Laboratories $ABT
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Central Pacific Bank Trust Division Cuts Stock Position in DoorDash, Inc. $DASH

NASDAQ:DASH
Read Central Pacific Bank Trust Division Cuts Stock Position in DoorDash, Inc. $DASH
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Central Pacific Bank Trust Division Sells 12,620 Shares of CBRE Group, Inc. $CBRE

NYSE:CBRE
Read Central Pacific Bank Trust Division Sells 12,620 Shares of CBRE Group, Inc. $CBRE
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Central Pacific Bank Trust Division Sells 205,120 Shares of Advanced Energy Industries, Inc. $AEIS

NASDAQ:AEIS
Read Central Pacific Bank Trust Division Sells 205,120 Shares of Advanced Energy Industries, Inc. $AEIS
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Bank of America Corp DE Has $115.48 Million Stock Position in Check Point Software Technologies Ltd. $CHKP

NASDAQ:CHKP
Read Bank of America Corp DE Has $115.48 Million Stock Position in Check Point Software Technologies Ltd. $CHKP
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Bank of America Corp DE Raises Stock Holdings in Rambus, Inc. $RMBS

NASDAQ:RMBS
Read Bank of America Corp DE Raises Stock Holdings in Rambus, Inc. $RMBS
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Bank of America Corp DE Decreases Holdings in Fiserv, Inc. $FISV

NASDAQ:FISV
Read Bank of America Corp DE Decreases Holdings in Fiserv, Inc. $FISV
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Bank of America Corp DE Sells 240,684 Shares of Tower Semiconductor Ltd. $TSEM

NASDAQ:TSEM
Read Bank of America Corp DE Sells 240,684 Shares of Tower Semiconductor Ltd. $TSEM
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Bank of America Corp DE Purchases 659,012 Shares of Magnolia Oil & Gas Corp $MGY

NYSE:MGY
Read Bank of America Corp DE Purchases 659,012 Shares of Magnolia Oil & Gas Corp $MGY
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Bank of America Corp DE Has $127.12 Million Position in Affirm Holdings, Inc. $AFRM

NASDAQ:AFRM
Read Bank of America Corp DE Has $127.12 Million Position in Affirm Holdings, Inc. $AFRM
Caesars Entertainment logo with Consumer Discretionary background

Bank of America Corp DE Cuts Stock Holdings in Caesars Entertainment, Inc. $CZR

NASDAQ:CZR
Read Bank of America Corp DE Cuts Stock Holdings in Caesars Entertainment, Inc. $CZR

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