LPL Financial LLC
Quarter-over-quarter position changes
| Action | Company | Flow |
|---|---|---|
| Added | 35473P553 | $109.42M |
| Added | 92189F130 | $107.95M |
| Added | 37960A438 | $107.56M |
| Added | 46641Q399 | $107.11M |
| Added | 14021T102 | $107.06M |
| Exited | 046353108 | $105.98M |
| Added | 46137V464 | $105.94M |
| Trimmed | 78468R853 | $104.65M |
| Added | iShares MSCI UAE ETF | $104.28M |
| Added | 33740F755 | $103.79M |
| Added | INTEL CORP | $101.46M |
| Added | 38149W622 | $99.60M |
| Added | 46138G698 | $98.02M |
| Added | Booking Holdings Inc | $97.90M |
| Added | 37960A529 | $97.49M |
| Added | 33738D788 | $97.28M |
| Trimmed | 81369Y605 | $96.35M |
| Added | 464288679 | $96.17M |
| Added | 75526L886 | $95.69M |
| Added | Western Digital Corp | $95.22M |
| Added | 46654Q609 | $94.35M |
| Added | 78464A698 | $92.99M |
| Added | 31609A206 | $92.01M |
| Added | 46137V746 | $92.00M |
| Trimmed | 97717X669 | $91.18M |
| Added | 66538H591 | $90.27M |
| Trimmed | 46090E103 | $90.23M |
| Added | 72201R833 | $89.82M |
| Added | 78470P630 | $89.41M |
| Added | 464287440 | $88.73M |
| Added | 46432F388 | $88.54M |
| Added | iShares MSCI UAE ETF | $88.31M |
| Added | 464288240 | $87.48M |
| Added | 14020R107 | $87.21M |
| Added | 921937835 | $86.78M |
| Added | 81369Y100 | $86.71M |
| Added | 72201R775 | $85.91M |
| New | G0250X149 | $85.39M |
| Added | Meta Platforms Inc | $84.38M |
| Trimmed | 46641Q761 | $83.99M |
| Added | 78463X889 | $83.73M |
| Added | TAIWAN SEMICONDUCTOR MANUFACTURING CO LTDTSM | $82.97M |
| Trimmed | FLEX LTD. | $82.76M |
| Added | 46090A887 | $82.48M |
| Added | 92647X830 | $81.86M |
| Added | First Trust Exchange-Traded Fund IV | $81.33M |
| Added | 90139K100 | $80.76M |
| Added | 316092840 | $80.74M |
| Added | 37954Y236 | $80.42M |
| Trimmed | 092528843 | $79.68M |