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EverSource Wealth Advisors LLC Lowers Stock Position in ExxonMobil Corporation $XOM

EverSource Wealth Advisors LLC lessened its stake in ExxonMobil Corporation (NYSE:XOM - Free Report) by 33.9% in the second quarter, according to its most recent 13F filing with the Securities & Exchange Commission. The institutional investor owned 40,280 shares of the oil and gas company's st

NYSE:XOM
Read EverSource Wealth Advisors LLC Lowers Stock Position in ExxonMobil Corporation $XOM
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Cape Investment Advisory Inc. Purchases 10,164 Shares of Booking Holdings Inc. $BKNG

Cape Investment Advisory Inc. increased its holdings in Booking Holdings Inc. (NASDAQ:BKNG - Free Report) by 2,195.2% in the second quarter, according to the company in its most recent disclosure with the Securities and Exchange Commission (SEC). The firm owned 10,627 shares of the business service

NASDAQ:BKNG
Read Cape Investment Advisory Inc. Purchases 10,164 Shares of Booking Holdings Inc. $BKNG
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Financial & Tax Architects LLC Has $7.75 Million Stake in Emerson Electric Co. $EMR

Financial & Tax Architects LLC raised its holdings in Emerson Electric Co. (NYSE:EMR - Free Report) by 1,055.6% in the second quarter, according to its most recent 13F filing with the Securities & Exchange Commission. The firm owned 54,139 shares of the industrial products company's stock after

NYSE:EMR
Read Financial & Tax Architects LLC Has $7.75 Million Stake in Emerson Electric Co. $EMR
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Exchange Traded Concepts LLC Buys 4,458 Shares of Waste Management, Inc. $WM

Exchange Traded Concepts LLC lifted its position in Waste Management, Inc. (NYSE:WM - Free Report) by 38.8% during the 2nd quarter, according to its most recent disclosure with the SEC. The fund owned 15,943 shares of the business services provider's stock after purchasing an additional 4,458 share

NYSE:WM
Read Exchange Traded Concepts LLC Buys 4,458 Shares of Waste Management, Inc. $WM
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Exchange Traded Concepts LLC Trims Position in NextEra Energy, Inc. $NEE

Exchange Traded Concepts LLC reduced its holdings in NextEra Energy, Inc. (NYSE:NEE - Free Report) by 72.9% in the 2nd quarter, according to its most recent disclosure with the Securities and Exchange Commission. The fund owned 48,866 shares of the utilities provider's stock after selling 131,138 s

NYSE:NEE
Read Exchange Traded Concepts LLC Trims Position in NextEra Energy, Inc. $NEE
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Exchange Traded Concepts LLC Acquires 68,010 Shares of Morgan Stanley $MS

Exchange Traded Concepts LLC lifted its holdings in Morgan Stanley (NYSE:MS - Free Report) by 258.8% in the 2nd quarter, according to its most recent Form 13F filing with the Securities and Exchange Commission (SEC). The fund owned 94,285 shares of the financial services provider's stock after purc

NYSE:MS
Read Exchange Traded Concepts LLC Acquires 68,010 Shares of Morgan Stanley $MS

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Booking Holdings Inc. $BKNG Stake Boosted by Exchange Traded Concepts LLC

NASDAQ:BKNG
Read Booking Holdings Inc. $BKNG Stake Boosted by Exchange Traded Concepts LLC
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Exchange Traded Concepts LLC Boosts Holdings in Emerson Electric Co. $EMR

NYSE:EMR
Read Exchange Traded Concepts LLC Boosts Holdings in Emerson Electric Co. $EMR
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Citizens National Bank Trust Department Purchases 5,644 Shares of Booking Holdings Inc. $BKNG

NASDAQ:BKNG
Read Citizens National Bank Trust Department Purchases 5,644 Shares of Booking Holdings Inc. $BKNG
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Capital Investment Services of America Inc. Raises Holdings in Booking Holdings Inc. $BKNG

NASDAQ:BKNG
Read Capital Investment Services of America Inc. Raises Holdings in Booking Holdings Inc. $BKNG
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Cordoba Advisory Partners LLC Sells 14,209 Shares of Invesco QQQ $QQQ

NASDAQ:QQQ
Read Cordoba Advisory Partners LLC Sells 14,209 Shares of Invesco QQQ $QQQ
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Mastercard Incorporated $MA Shares Sold by Campbell Newman Asset Management Inc.

NYSE:MA
Read Mastercard Incorporated $MA Shares Sold by Campbell Newman Asset Management Inc.
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CV Advisors LLC Takes Position in Merck & Co., Inc. $MRK

NYSE:MRK
Read CV Advisors LLC Takes Position in Merck & Co., Inc. $MRK
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CV Advisors LLC Lowers Holdings in Bank of America Corporation $BAC

NYSE:BAC
Read CV Advisors LLC Lowers Holdings in Bank of America Corporation $BAC
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Mobileye Eyes Higher ASPs as Surround ADAS, Volkswagen Programs Ramp

NASDAQ:MBLY
Read Mobileye Eyes Higher ASPs as Surround ADAS, Volkswagen Programs Ramp
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4,452 Shares in The Goldman Sachs Group, Inc. $GS Acquired by CV Advisors LLC

NYSE:GS
Read 4,452 Shares in The Goldman Sachs Group, Inc. $GS Acquired by CV Advisors LLC
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Boston Common Asset Management LLC Lowers Stake in The Home Depot, Inc. $HD

NYSE:HD
Read Boston Common Asset Management LLC Lowers Stake in The Home Depot, Inc. $HD
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Boston Common Asset Management LLC Reduces Holdings in Bank of America Corporation $BAC

NYSE:BAC
Read Boston Common Asset Management LLC Reduces Holdings in Bank of America Corporation $BAC
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Envestnet Portfolio Solutions Inc. Acquires 23,240 Shares of Merck & Co., Inc. $MRK

NYSE:MRK
Read Envestnet Portfolio Solutions Inc. Acquires 23,240 Shares of Merck & Co., Inc. $MRK
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Invesco QQQ $QQQ Shares Purchased by Envestnet Portfolio Solutions Inc.

NASDAQ:QQQ
Read Invesco QQQ $QQQ Shares Purchased by Envestnet Portfolio Solutions Inc.
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The Home Depot, Inc. $HD Stock Position Boosted by Envestnet Portfolio Solutions Inc.

NYSE:HD
Read The Home Depot, Inc. $HD Stock Position Boosted by Envestnet Portfolio Solutions Inc.
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PepsiCo, Inc. $PEP Shares Bought by Envestnet Portfolio Solutions Inc.

NASDAQ:PEP
Read PepsiCo, Inc. $PEP Shares Bought by Envestnet Portfolio Solutions Inc.
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Envestnet Portfolio Solutions Inc. Sells 6,962 Shares of Johnson & Johnson $JNJ

NYSE:JNJ
Read Envestnet Portfolio Solutions Inc. Sells 6,962 Shares of Johnson & Johnson $JNJ
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AbbVie Inc. $ABBV Stake Boosted by Envestnet Portfolio Solutions Inc.

NYSE:ABBV
Read AbbVie Inc. $ABBV Stake Boosted by Envestnet Portfolio Solutions Inc.
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Envestnet Portfolio Solutions Inc. Sells 17,550 Shares of JPMorgan Chase & Co. $JPM

NYSE:JPM
Read Envestnet Portfolio Solutions Inc. Sells 17,550 Shares of JPMorgan Chase & Co. $JPM
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Covenant Asset Management LLC Sells 2,765 Shares of JPMorgan Chase & Co. $JPM

NYSE:JPM
Read Covenant Asset Management LLC Sells 2,765 Shares of JPMorgan Chase & Co. $JPM
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Hamilton Capital Partners LLC Has $23.04 Million Position in Broadcom Inc. $AVGO

NASDAQ:AVGO
Read Hamilton Capital Partners LLC Has $23.04 Million Position in Broadcom Inc. $AVGO
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Diversified Trust Co. Acquires 4,458 Shares of Air Products and Chemicals, Inc. $APD

NYSE:APD
Read Diversified Trust Co. Acquires 4,458 Shares of Air Products and Chemicals, Inc. $APD
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Diversified Trust Co. Trims Position in Parker-Hannifin Corporation $PH

NYSE:PH
Read Diversified Trust Co. Trims Position in Parker-Hannifin Corporation $PH
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Diversified Trust Co. Has $3.56 Million Holdings in Comcast Corporation $CMCSA

NASDAQ:CMCSA
Read Diversified Trust Co. Has $3.56 Million Holdings in Comcast Corporation $CMCSA

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