Free Trial

MarketBeat Instant News Alerts

DTE Energy logo with Utilities background

NewEdge Advisors LLC Acquires 11,501 Shares of DTE Energy Company $DTE

NewEdge Advisors LLC lifted its holdings in DTE Energy Company (NYSE:DTE - Free Report) by 3.5% in the first quarter, according to the company in its most recent disclosure with the Securities & Exchange Commission. The firm owned 336,467 shares of the utilities provider's stock after acquiring

NYSE:DTE
Read NewEdge Advisors LLC Acquires 11,501 Shares of DTE Energy Company $DTE
Procter & Gamble logo with Consumer Staples background

NewEdge Advisors LLC Boosts Holdings in Procter & Gamble Company (The) $PG

NewEdge Advisors LLC boosted its position in shares of Procter & Gamble Company (The) (NYSE:PG - Free Report) by 4.3% in the first quarter, according to its most recent Form 13F filing with the Securities & Exchange Commission. The fund owned 282,736 shares of the company's stock after acquirin

NYSE:PG
Read NewEdge Advisors LLC Boosts Holdings in Procter & Gamble Company (The) $PG
Illinois Tool Works logo with Industrials background

NewEdge Advisors LLC Purchases 10,222 Shares of Illinois Tool Works Inc. $ITW

NewEdge Advisors LLC raised its position in Illinois Tool Works Inc. (NYSE:ITW - Free Report) by 5.5% in the 1st quarter, according to its most recent Form 13F filing with the SEC. The institutional investor owned 196,476 shares of the industrial products company's stock after purchasing an additi

NYSE:ITW
Read NewEdge Advisors LLC Purchases 10,222 Shares of Illinois Tool Works Inc. $ITW
SAP logo with Computer and Technology background

NewEdge Advisors LLC Sells 9,611 Shares of SAP SE $SAP

NewEdge Advisors LLC decreased its holdings in shares of SAP SE (NYSE:SAP - Free Report) by 4.8% in the 1st quarter, according to its most recent Form 13F filing with the SEC. The firm owned 192,453 shares of the software maker's stock after selling 9,611 shares during the period. NewEdge Advisors

NYSE:SAP
Read NewEdge Advisors LLC Sells 9,611 Shares of SAP SE $SAP
TJX Companies logo with Retail/Wholesale background

NewEdge Advisors LLC Grows Stock Position in The TJX Companies, Inc. $TJX

NewEdge Advisors LLC increased its stake in The TJX Companies, Inc. (NYSE:TJX - Free Report) by 8.7% in the first quarter, according to the company in its most recent Form 13F filing with the Securities & Exchange Commission. The fund owned 438,475 shares of the apparel and home fashions retail

NYSE:TJX
Read NewEdge Advisors LLC Grows Stock Position in The TJX Companies, Inc. $TJX
UnitedHealth Group logo with Medical background

Panoramic Capital LLC Makes New Investment in UnitedHealth Group Incorporated $UNH

Panoramic Capital LLC purchased a new position in UnitedHealth Group Incorporated (NYSE:UNH - Free Report) in the 1st quarter, according to the company in its most recent Form 13F filing with the Securities and Exchange Commission (SEC). The firm purchased 8,000 shares of the healthcare conglomerat

NYSE:UNH
Read Panoramic Capital LLC Makes New Investment in UnitedHealth Group Incorporated $UNH

Trending News

All MarketBeat Instant News Alerts

Netflix logo with Consumer Discretionary background

Netflix, Inc. $NFLX Shares Sold by Panoramic Capital LLC

NASDAQ:NFLX
Read Netflix, Inc. $NFLX Shares Sold by Panoramic Capital LLC
Meta Platforms logo with Computer and Technology background

Meta Platforms, Inc. $META is Panoramic Capital LLC's 4th Largest Position

NASDAQ:META
Read Meta Platforms, Inc. $META is Panoramic Capital LLC's 4th Largest Position
Tesla logo with Auto/Tires/Trucks background

Paradoxiom Capital L.P. Takes Position in Tesla, Inc. $TSLA

NASDAQ:TSLA
Read Paradoxiom Capital L.P. Takes Position in Tesla, Inc. $TSLA
GE Vernova logo with Energy background

Paradoxiom Capital L.P. Cuts Position in GE Vernova Inc. $GEV

NYSE:GEV
Read Paradoxiom Capital L.P. Cuts Position in GE Vernova Inc. $GEV
Vertiv logo with Computer and Technology background

Paradoxiom Capital L.P. Buys New Stake in Vertiv Holdings Co. $VRT

NYSE:VRT
Read Paradoxiom Capital L.P. Buys New Stake in Vertiv Holdings Co. $VRT
UnitedHealth Group logo with Medical background

Park West Asset Management LLC Has $36.90 Million Position in UnitedHealth Group Incorporated $UNH

NYSE:UNH
Read Park West Asset Management LLC Has $36.90 Million Position in UnitedHealth Group Incorporated $UNH
Meta Platforms logo with Computer and Technology background

Park West Asset Management LLC Cuts Position in Meta Platforms, Inc. $META

NASDAQ:META
Read Park West Asset Management LLC Cuts Position in Meta Platforms, Inc. $META
UnitedHealth Group logo with Medical background

Parkman Healthcare Partners LLC Increases Position in UnitedHealth Group Incorporated $UNH

NYSE:UNH
Read Parkman Healthcare Partners LLC Increases Position in UnitedHealth Group Incorporated $UNH
Eli Lilly and Company logo with Medical background

Parkman Healthcare Partners LLC Acquires 11,028 Shares of Eli Lilly and Company $LLY

NYSE:LLY
Read Parkman Healthcare Partners LLC Acquires 11,028 Shares of Eli Lilly and Company $LLY
Wells Fargo & Company logo with Finance background

Parkwood LLC Buys New Position in Wells Fargo & Company $WFC

NYSE:WFC
Read Parkwood LLC Buys New Position in Wells Fargo & Company $WFC
ASML logo with Computer and Technology background

Parkwood LLC Grows Stock Position in ASML Holding N.V. $ASML

NASDAQ:ASML
Read Parkwood LLC Grows Stock Position in ASML Holding N.V. $ASML
Bank of America logo with Finance background

Parkwood LLC Makes New Investment in Bank of America Corporation $BAC

NYSE:BAC
Read Parkwood LLC Makes New Investment in Bank of America Corporation $BAC
Visa logo with Business Services background

Parkwood LLC Has $18.56 Million Holdings in Visa Inc. $V

NYSE:V
Read Parkwood LLC Has $18.56 Million Holdings in Visa Inc. $V
Uber Technologies logo with Computer and Technology background

Parkwood LLC Buys 40,049 Shares of Uber Technologies, Inc. $UBER

NYSE:UBER
Read Parkwood LLC Buys 40,049 Shares of Uber Technologies, Inc. $UBER
Alphabet logo with Computer and Technology background

Parkwood LLC Purchases 41,460 Shares of Alphabet Inc. $GOOG

NASDAQ:GOOG
Read Parkwood LLC Purchases 41,460 Shares of Alphabet Inc. $GOOG
Meta Platforms logo with Computer and Technology background

Parkwood LLC Has $23.45 Million Stake in Meta Platforms, Inc. $META

NASDAQ:META
Read Parkwood LLC Has $23.45 Million Stake in Meta Platforms, Inc. $META
Taiwan Semiconductor Manufacturing logo with Computer and Technology background

Parkwood LLC Invests $23.53 Million in Taiwan Semiconductor Manufacturing Company Ltd. $TSM

NYSE:TSM
Read Parkwood LLC Invests $23.53 Million in Taiwan Semiconductor Manufacturing Company Ltd. $TSM
ServiceNow logo with Computer and Technology background

Parkwood LLC Has $24.54 Million Stock Holdings in ServiceNow, Inc. $NOW

NYSE:NOW
Read Parkwood LLC Has $24.54 Million Stock Holdings in ServiceNow, Inc. $NOW
JPMorgan Chase & Co. logo with Finance background

Parkwood LLC Invests $27.50 Million in JPMorgan Chase & Co. $JPM

NYSE:JPM
Read Parkwood LLC Invests $27.50 Million in JPMorgan Chase & Co. $JPM
Novo Nordisk A/S logo with Medical background

Parkwood LLC Buys 200,976 Shares of Novo Nordisk A/S $NVO

NYSE:NVO
Read Parkwood LLC Buys 200,976 Shares of Novo Nordisk A/S $NVO
Cyrela Brazil Realty logo with Finance background

Cyrela Brazil Realty SA (OTCMKTS:CYRBY) Short Interest Up 104.0% in August

OTCMKTS:CYRBY
Read Cyrela Brazil Realty SA (OTCMKTS:CYRBY) Short Interest Up 104.0% in August
T-Mobile US logo with Computer and Technology background

T-Mobile US, Inc. $TMUS Shares Sold by NewEdge Advisors LLC

NASDAQ:TMUS
Read T-Mobile US, Inc. $TMUS Shares Sold by NewEdge Advisors LLC
Automatic Data Processing logo with Computer and Technology background

NewEdge Advisors LLC Purchases 1,389 Shares of Automatic Data Processing, Inc. $ADP

NASDAQ:ADP
Read NewEdge Advisors LLC Purchases 1,389 Shares of Automatic Data Processing, Inc. $ADP
Cencora logo with Medical background

NewEdge Advisors LLC Decreases Holdings in Cencora, Inc. $COR

NYSE:COR
Read NewEdge Advisors LLC Decreases Holdings in Cencora, Inc. $COR