Now | | Buy/Sell | | Ticker | Type | Name |
$ 461.00K | | $ -8.00K | | T | com | At&t Inc* |
$ 925.00K | | $ -61.00K | | ABT | com | Abbott Labs* |
$ 907.00K | | $ -27.00K | | ABBV | com | Abbvie Inc* |
$ 254.00K | | $ 0.00K | | LNT | com | Alliant Energy Corporation* |
$ 575.00K | | $ -11.00K | | GOOG | cap stk cl c | Alphabet Inc* |
$ 306.00K | | $ -15.00K | | MO | com | Altria Groupinc* |
$ 17.85M | | $ -1.13M | | AEL | com | American Equity Investment Lif* |
$ 245.00K | | $ -21.00K | | BUD | sponsored adr | Anheuser-busch Inbev Sa Sponso* |
$ 2.54M | | $ -18.00K | | AAPL | com | Apple Inc* |
$ 582.00K | | $ 0.00K | | ADM | com | Archer Daniels Midland Co* |
$ 334.00K | | $ -29.00K | | BAC | com | Bank of America Corp* |
$ 550.00K | | $ 0.00K | | BRK.B | cl b new | Berkshire Hathwy Inc* |
$ 385.00K | | $ -7.00K | | BLK | com | Blackrock Inc* |
$ 479.00K | | $ 0.00K | | BX | com | Blackstone Inc* |
$ 1.84M | | $ 0.00K | | CASY | com | Caseys General Stores Inc* |
$ 366.00K | | $ 0.00K | | CVX | com | Chevron Corporation* |
$ 729.00K | | $ -35.00K | | CSCO | com | Cisco Systems* |
$ 271.00K | | $ 30.00K | | KO | com | Coca-cola Co* |
$ 303.00K | | $ -6.00K | | CTVA | com | Corteva Inc* |
$ 843.00K | | $ -127.00K | | COST | com | Costco Wholesale Corp-new* |
$ 252.00K | | $ -9.00K | | DHR | com | Danaher Corp* |
$ 252.00K | | $ -70.00K | | DEO | spon adr new | Diageo Plc* |
$ 276.00K | | $ -9.00K | | DOW | com | Dow Inc* |
$ 344.00K | | $ -12.00K | | DD | com | Dupont De Nemours Inc* |
$ 313.00K | | $ -10.00K | | EOG | com | Eog Resourcesinc* |
$ 208.00K | | $ 15.00K | | XOM | com | Exxon Mobil Corporation* |
$ 312.00K | | $ -2.00K | | HPQ | com | Hp Inc* |
$ 1.17M | | $ -93.00K | | HD | com | Home Depot Inc* |
$ 1.54M | | $ 0.00K | | HON | com | Honeywell International Inc* |
$ 260.00K | | $ -13.00K | | INTC | com | Intel Corp* |
$ 536.00K | | $ -7.00K | | IBM | com | Intl Business Machines Corp* |
$ 588.00K | | $ 34.00K | | RSP | s&p500 eql wgt | Invesco S&P 500 Equal Weight ETF* |
$ 326.00K | | $ 0.00K | | ITOT | core s&p ttl stk | Ishares Core S&P Total Us Stock Market ETF* |
$ 4.20M | | $ -568.00K | | IVV | core s&p500 etf | Ishares Core S&P 500 ETF* |
$ 721.00K | | $ -105.00K | | EFA | msci eafe etf | Ishares Msci Eafe ETF* |
$ 2.24M | | $ 274.00K | | IWS | rus mdcp val etf | Ishares Russell Mid-cap Value ETF* |
$ 8.12M | | $ -468.00K | | IWR | rus mid cap etf | Ishares Russell Mid-cap ETF* |
$ 9.19M | | $ -157.00K | | IWD | rus 1000 val etf | Ishares Russell 1000 Value ETF* |
$ 6.84M | | $ -476.00K | | IWF | rus 1000 grw etf | Ishares Russell 1000 Growth ETF* |
$ 1.94M | | $ 125.00K | | IWN | rus 2000 val etf | Ishares Russell 2000 Value ETF* |
$ 3.82M | | $ -178.00K | | IWM | russell 2000 etf | Ishares Russell 2000 ETF* |
$ 291.00K | | $ 81.00K | | IJR | core s&p scp etf | Ishares Core S&P Small-cap ETF* |
$ 467.00K | | $ -394.00K | | IDV | intl sel div etf | Ishares International Select Dividend ETF* |
$ 1.07M | | $ 6.00K | | IEFA | core msci eafe | Ishares Core Msci Eafe ETF* |
$ 781.00K | | $ -11.00K | | JPM | com | Jpmorgan Chase & Co Com Stk* |
$ 187.00K | | $ 0.00K | | JNJ | com | Johnson and Johnson* |
$ 187.00K | | $ 0.00K | | LUMN | com | Lumen Technologies Inc* |
$ 230.00K | | $ -13.00K | | MA | cl a | Mastercard Incorporated Cl a C* |
$ 1.02M | | $ 203.00K | | MCD | com | Mcdonalds Corp* |
$ 1.18M | | $ -52.00K | | MRK | com | Merck & Co Inc* |
$ 244.00K | | $ -14.00K | | MET | com | Metlife Inc* |
$ 2.99M | | $ -102.00K | | MSFT | com | Microsoft Corp* |
$ 218.00K | | $ 0.00K | | MDLZ | cl a | Mondelez Intl Inc* |
$ 345.00K | | $ -10.00K | | NVDA | com | Nvidia Corp* |
$ 346.00K | | $ -41.00K | | PAYX | com | Paychex Inc* |
$ 1.02M | | $ -19.00K | | PEP | com | Pepsico Inc* |
$ 1.16M | | $ -184.00K | | PFE | com | Pfizer Inc* |
$ 230.00K | | $ -22.00K | | PNW | com | Pinnacle West Cap Corp* |
$ 216.00K | | $ -13.00K | | PXD | com | Pioneer Nat Res Co* |
$ 1.07M | | $ -4.00K | | PFG | com | Principal Financial Group* |
$ 384.00K | | $ 0.00K | | PG | com | Procter & Gamble* |
$ 214.00K | | $ -1.00K | | PEG | com | Pub Svc Enterprise Group Inc* |
$ 260.00K | | $ -11.00K | | RTX | com | Raytheon Technologies Corp* |
$ 478.00K | | $ 0.00K | | ROST | com | Ross Stores Inc* |
$ 4.96M | | $ 0.00K | | SPY | tr unit | SPDR S&P 500 ETF Trust* |
$ 227.00K | | $ 0.00K | | GLD | gold shs | SPDR Gold Shares* |
$ 1.27M | | $ 25.00K | | SDY | s&p divid etf | SPDR S&P Dividend ETF* |
$ 1.98M | | $ 1.31M | | SCHD | us dividend eq | Schwab Us Dividend Equity ETF* |
$ 1.10M | | $ 0.00K | | SO | com | Southern Co* |
$ 255.00K | | $ -8.00K | | TMO | com | Thermo Fisher Scientific Inc* |
$ 323.00K | | $ 0.00K | | MMM | com | 3m Company* |
$ 216.00K | | $ -82.00K | | TSCO | com | Tractor Supply Co* |
$ 308.00K | | $ -27.00K | | UPS | cl b | United Parcel Serviceinccl B* |
$ 303.00K | | $ -30.00K | | UNH | com | Unitedhealth Group Inc* |
$ 1.49M | | $ 27.00K | | VIG | div app etf | Vanguard Dividend Appreciation ETF* |
$ 510.00K | | $ 0.00K | | VOOV | 500 val idx fd | Vanguard S&P 500 Value ETF* |
$ 2.70M | | $ -616.00K | | VEA | van ftse dev mkt | Vanguard Ftse Developed Markets ETF* |
$ 4.82M | | $ -108.00K | | VYM | high div yld | Vanguard High Dividend Yield ETF* |
$ 2.38M | | $ -832.00K | | VTIP | strm infproidx | Vanguard Sht Trm Inflt-prot Fd ETF* |
$ 329.00K | | $ -358.00K | | VWO | ftse emr mkt etf | Vanguard Ftse Emerging Markets ETF* |
$ 3.03M | | $ -9.00K | | VOO | s&p 500 etf shs | Vanguard S&P 500 ETF* |
$ 1.08M | | $ -16.00K | | VO | mid cap etf | Vanguard Mid-cap ETF* |
$ 2.75M | | $ -134.00K | | VTV | value etf | Vanguard Value ETF* |
$ 2.69M | | $ -32.00K | | VB | small cp etf | Vanguard Small-cap ETF* |
$ 551.00K | | $ 0.00K | | VTI | total stk mkt | Vanguard Total Stock Market ETF* |
$ 706.00K | | $ -18.00K | | VZ | com | Verizon Communications* |
$ 606.00K | | $ 0.00K | | WFC | com | Wells Fargo & Co* |
$ 8.39M | | $ -91.00K | | WTBA | cap stk | West Bancorporation* |
$ 3.61M | | $ 761.00K | | DON | us midcap divid | Wisdomtree Us Midcap Dividend Fund* |
$ 2.29M | | $ 314.00K | | DES | us smallcap divd | Wisdomtree Us Smallcap Dividend Fund* |
$ SOLD | | $ -20.00K | | ARKK | innovation etf | Ark Innovation ETF |
$ SOLD | | $ -1.00K | | ATVI | com | Activision Blizzard Inc |
$ SOLD | | $ -9.00K | | ASIX | com | Advansix Inc |
$ SOLD | | $ -10.00K | | GOOGL | cap stk cl a | Alphabet Inc |
$ SOLD | | $ -315.00K | | AMZN | com | Amazon Com Inc |
$ SOLD | | $ -173.00K | | AEP | com | American Electric Power Inc |
$ SOLD | | $ -202.00K | | AMT | com | American Tower Corp |
$ SOLD | | $ -166.00K | | ABC | com | Amerisourcebergen Corp |
$ SOLD | | $ -26.00K | | AMGN | com | Amgen Inc |
$ SOLD | | $ -176.00K | | APH | cl a | Amphenol Corp |
$ SOLD | | $ -14.00K | | ARI | com | Apollo Commerical Real Estate |
$ SOLD | | $ -4.00K | | ARCC | com | Ares Capital Corp |
$ SOLD | | $ -7.00K | | ALV | com | Autoliv Inc |
$ SOLD | | $ -19.00K | | BP | sponsored adr | Bp Plc Ads |
$ SOLD | | $ -18.00K | | SAN | adr | Banco Santander Sa |
$ SOLD | | $ -3.00K | | BNS | com | Bank of Nova Scotia |
$ SOLD | | $ -115.00K | | BBWI | com | Bath & Body Wks Inc |
$ SOLD | | $ -2.00K | | BKNG | com | Booking Hldgs Inc |
$ SOLD | | $ -86.00K | | BWA | com | Borgwarner Inc |
$ SOLD | | $ -19.00K | | AVGO | com | Broadcom Inc |
$ SOLD | | $ -93.00K | | BAM | cl a ltd vt sh | Brookfield Asset Management In |
$ SOLD | | $ -17.00K | | BIPC | com sb vtg shs a | Brookfield Infrastructure Corp |
$ SOLD | | $ -114.00K | | CBRE | cl a | Cbre Group Inc |
$ SOLD | | $ -144.00K | | CVS | com | Cvs Health Corporation |
$ SOLD | | $ -16.00K | | CARR | com | Carrier Global Corp |
$ SOLD | | $ -10.00K | | CE | com | Celanese Corporation Com Stk |
$ SOLD | | $ -1.00K | | CC | com | Chemours Co Com Stk |
$ SOLD | | $ -200.00K | | CMG | com | Chipolte Mexican Grill Inc |
$ SOLD | | $ -4.00K | | C | com new | Citigroup |
$ SOLD | | $ -25.00K | | CTSH | cl a | Cognizant Tech Solutions Corp |
$ SOLD | | $ -46.00K | | CMCSA | cl a | Comcast Corp |
$ SOLD | | $ -51.00K | | COP | com | Conocophillips |
$ SOLD | | $ -9.00K | | ED | com | Consolidated Ed Inc |
$ SOLD | | $ -189.00K | | CPRT | com | Copart Inc |
$ SOLD | | $ -130.00K | | GLW | com | Corning Incorporated |
$ SOLD | | $ -9.00K | | CTMX | com | Cytomx Therapeutics Inc |
$ SOLD | | $ -52.00K | | DIS | com | Walt Disney Co-disney Common |
$ SOLD | | $ -14.00K | | DFS | com | Discover Financial Services |
$ SOLD | | $ -27.00K | | D | com | Dominion Energy Inc |
$ SOLD | | $ -115.00K | | DUK | com new | Duke Energy Corporation New Co |
$ SOLD | | $ -14.00K | | EMN | com | Eastman Chemical Co |
$ SOLD | | $ -30.00K | | EOI | com | Eaton Vance Enhanced Equity In |
$ SOLD | | $ -23.00K | | EOS | com | Eaton Vance Enhanced Equity In |
$ SOLD | | $ -1.00K | | EA | com | Electronic Arts Inc |
$ SOLD | | $ -80.00K | | ENB | com | Enbridge Inc |
$ SOLD | | $ -172.00K | | EPD | com | Enterprise Prods Partners Lp |
$ SOLD | | $ -44.00K | | META | cl a | Meta Platforms Inc |
$ SOLD | | $ -136.00K | | FAST | com | Fastenal Co |
$ SOLD | | $ -27.00K | | FDX | com | Fedex Corporation |
$ SOLD | | $ -135.00K | | FFA | com | First Trust Enhanced Equity In |
$ SOLD | | $ -4.00K | | GTX | com | Garrett Motion Inc |
$ SOLD | | $ -142.00K | | GNRC | com | Generac Holdings Inc |
$ SOLD | | $ -54.00K | | GE | com new | Gen Elec Co Com New |
$ SOLD | | $ -114.00K | | GIS | com | General Mills Inc |
$ SOLD | | $ -4.00K | | GILD | com | Gilead Sciences Inc |
$ SOLD | | $ -20.00K | | GSLC | activebeta us lg | Goldman Sachs Activebeta Us Large Cap Equity ETF |
$ SOLD | | $ -188.00K | | HCA | com | Hca Healthcare Inc |
$ SOLD | | $ -4.00K | | HAIN | com | Hain Celestial Group Inc |
$ SOLD | | $ -27.00K | | PDT | com sh ben int | John Hancock Premium Dividend |
$ SOLD | | $ -5.00K | | HOG | com | Harley Davidson Inc |
$ SOLD | | $ -134.00K | | HUM | com | Humana Inc |
$ SOLD | | $ -2.00K | | IMV | com | Imv Inc |
$ SOLD | | $ -25.00K | | ILMN | com | Illumina Inc |
$ SOLD | | $ -3.00K | | IPG | com | Interpublic Group Cos Inc |
$ SOLD | | $ -32.00K | | QQQ | unit ser 1 | Invesco QQQ |
$ SOLD | | $ -21.00K | | PDBC | optimum yield | Invesco Optimum Yield Diversified Commodity Strategy No K-1 ETF |
$ SOLD | | $ -95.00K | | ISRG | com new | Intuitive Surgical Inc |
$ SOLD | | $ -10.00K | | RYE | s&p500 eql enr | Invesco S&P 500 Equal Weight Energy ETF |
$ SOLD | | $ -436.00K | | DBC | unit | Invesco Db Commodity Index Tracking Fund |
$ SOLD | | $ -156.00K | | IAU | ishares new | Ishares Gold Trust Ishares New |
$ SOLD | | $ -158.00K | | DVY | select divid etf | Ishares Select Dividend ETF |
$ SOLD | | $ -18.00K | | TIP | tips bd etf | Ishares Tips Bond ETF |
$ SOLD | | $ -179.00K | | IWP | rus md cp gr etf | Ishares Russell Mid-cap Growth ETF |
$ SOLD | | $ -28.00K | | IJH | core s&p mcp etf | Ishares Core S&P Mid-cap ETF |
$ SOLD | | $ -160.00K | | IJK | s&p mc 400gr etf | Ishares S&P Mid-cap 400 Growth ETF |
$ SOLD | | $ -16.00K | | IWB | rus 1000 etf | Ishares Russell 1000 ETF |
$ SOLD | | $ -29.00K | | IWO | rus 2000 grw etf | Ishares Russell 2000 Growth ETF |
$ SOLD | | $ -130.00K | | IJJ | s&p mc 400vl etf | Ishares S&P Mid-cap 400 Value ETF |
$ SOLD | | $ -9.00K | | SLV | ishares | Ishares Silver Trust |
$ SOLD | | $ -73.00K | | HDV | core high dv etf | Ishares Core High Dividend ETF |
$ SOLD | | $ -25.00K | | IEMG | core msci emkt | Ishares Core Msci Emerging Markets ETF |
$ SOLD | | $ -103.00K | | KMB | com | Kimberly Clark Corp |
$ SOLD | | $ -37.00K | | KHC | com | Kraft Heinz Co Com |
$ SOLD | | $ -5.00K | | KD | common stock | Kyndryl Holdings Inc |
$ SOLD | | $ -18.00K | | LRCX | com | Lam Research Corp |
$ SOLD | | $ -22.00K | | USA | sh ben int | Liberty All Star Equity Fund |
$ SOLD | | $ -119.00K | | LLY | com | Eli Lilly and Co |
$ SOLD | | $ -3.00K | | LYV | com | Live Nation Entertainment Inc |
$ SOLD | | $ -125.00K | | LOW | com | Lowes Companies Inc |
$ SOLD | | $ -183.00K | | LULU | com | Lululemon Athletica Inc |
$ SOLD | | $ -90.00K | | MAC | com | Macerich Company |
$ SOLD | | $ -5.00K | | MMC | com | Marsh & Mclennan Cos Inc |
$ SOLD | | $ -75.00K | | MAR | cl a | Marriott Int'l Inc |
$ SOLD | | $ -45.00K | | MAA | com | Mid-american Apartment Commun |
$ SOLD | | $ -3.00K | | NVS | sponsored adr | Novartis Ag Ads |
$ SOLD | | $ -79.00K | | OMC | com | Omnicom Group Inc |
$ SOLD | | $ -101.00K | | OKE | com | Oneok Inc |
$ SOLD | | $ -14.00K | | OGN | common stock | Organon & Co |
$ SOLD | | $ -15.00K | | OTIS | com | Otis Worldwide Corp |
$ SOLD | | $ -13.00K | | PNC | com | Pnc Finl Svcs Grpinc |
$ SOLD | | $ -20.00K | | SRVR | bnchmrk infra | Pacer Fds Tr Benchmark Data & Infr |
$ SOLD | | $ -67.00K | | PYPL | com | Paypal Hldgs Inc |
$ SOLD | | $ -109.00K | | PM | com | Philip Morris Intl |
$ SOLD | | $ -137.00K | | PSTG | cl a | Pure Storage Inc |
$ SOLD | | $ -158.00K | | QCOM | com | Qualcomm Inc |
$ SOLD | | $ -36.00K | | O | com | Realty Income Corp |
$ SOLD | | $ -22.00K | | REZI | com | Resideo Technologies Inc |
$ SOLD | | $ -60.00K | | SHEL | spon ads | Royal Dutch Shell Plc Spons A |
$ SOLD | | $ -150.00K | | SPGI | com | S&P Global Inc |
$ SOLD | | $ -10.00K | | SLG | com | Sl Green Rlty Corp |
$ SOLD | | $ -38.00K | | SLY | s&p 600 sml cap | SPDR S&P 600 Small Cap ETF |
$ SOLD | | $ -5.00K | | XLB | sbi materials | Materials Select Sector SPDR Fund |
$ SOLD | | $ -68.00K | | XLV | sbi healthcare | Health Care Select Sector SPDR Fund |
$ SOLD | | $ -31.00K | | XLP | sbi cons stpls | Consumer Staples Select Sector SPDR Fund |
$ SOLD | | $ -47.00K | | XLY | sbi cons discr | Consumer Discretionary Select Sector SPDR Fund |
$ SOLD | | $ -35.00K | | XLF | financial | Financial Select Sector SPDR Fund |
$ SOLD | | $ -26.00K | | XLI | sbi int-inds | Industrial Select Sector SPDR Fund |
$ SOLD | | $ -129.00K | | XLK | technology | Technology Select Sector SPDR Fund |
$ SOLD | | $ -4.00K | | XLRE | rl est sel sec | Real Estate Select Sector SPDR Fund |
$ SOLD | | $ -120.00K | | NOW | com | Servicenow Inc |
$ SOLD | | $ -143.00K | | LUV | com | Southwest Airlines Co |
$ SOLD | | $ -84.00K | | SBUX | com | Starbucks Corporation |
$ SOLD | | $ -17.00K | | BANX | com | Arrowmark Financial Corp |
$ SOLD | | $ -18.00K | | SYK | com | Stryker Corp |
$ SOLD | | $ -20.00K | | RJI | rog ttl etn 22 | Ab Svensk Ekportkredit Elements Linked to the Rogers International Commodity Index-total Return |
$ SOLD | | $ -3.00K | | SYY | com | Sysco Corp |
$ SOLD | | $ -23.00K | | TJX | com | Tjx Companies Inc |
$ SOLD | | $ -3.00K | | TGT | com | Target Corporation |
$ SOLD | | $ -2.00K | | TRP | com | Tc Energy Corp |
$ SOLD | | $ -119.00K | | USB | com new | Usbancorp |
$ SOLD | | $ -1.00K | | UL | spon adr new | Unilever Plc Ads New |
$ SOLD | | $ -181.00K | | UNP | com | Union Pacific Corporation |
$ SOLD | | $ -108.00K | | VXUS | vg tl intl stk f | Vanguard Star Fd Vanguard Total Intl |
$ SOLD | | $ -87.00K | | VIOV | smlcp 600 val | Vanguard S&P Small-cap 600 Value ETF |
$ SOLD | | $ -80.00K | | IVOV | midcp 400 val | Vanguard S&P Mid-cap 400 Value ETF |
$ SOLD | | $ -22.00K | | VEU | allwrld ex us | Vanguard Ftse All-world Ex-us ETF |
$ SOLD | | $ -5.00K | | VGK | ftse europe etf | Vanguard Ftse Europe ETF |
$ SOLD | | $ -160.00K | | VCR | consum dis etf | Vanguard Consumer Discretionary ETF |
$ SOLD | | $ -130.00K | | VDE | energy etf | Vanguard Energy ETF |
$ SOLD | | $ -114.00K | | VFH | financials etf | Vanguard Financials ETF |
$ SOLD | | $ -140.00K | | VHT | health car etf | Vanguard Health Care ETF |
$ SOLD | | $ -164.00K | | VGT | inf tech etf | Vanguard Information Technology ETF |
$ SOLD | | $ -8.00K | | VPU | utilities etf | Vanguard Utilities ETF |
$ SOLD | | $ -22.00K | | VTR | com | Ventas Inc |
$ SOLD | | $ -47.00K | | VOE | mcap vl idxvip | Vanguard Mid-cap Value ETF |
$ SOLD | | $ -123.00K | | VNQ | real estate etf | Vanguard Reit ETF |
$ SOLD | | $ -8.00K | | VBK | sml cp grw etf | Vanguard Small-cap Growth ETF |
$ SOLD | | $ -160.00K | | VBR | sm cp val etf | Vanguard Small-cap Value ETF |
$ SOLD | | $ -81.00K | | VXF | extend mkt etf | Vanguard Extended Market ETF |
$ SOLD | | $ -68.00K | | VUG | growth etf | Vanguard Growth ETF |
$ SOLD | | $ -1.00K | | VTRS | com | Viatris Inc |
$ SOLD | | $ -123.00K | | VICI | com | Vici Pptys Inc |
$ SOLD | | $ -146.00K | | V | com cl a | Visa Inc |
$ SOLD | | $ -12.00K | | VOD | sponsored adr | Vodafone Group Plc Newsponsore |
$ SOLD | | $ -96.00K | | WMT | com | Wal-mart Inc |
$ SOLD | | $ -41.00K | | WBD | com ser a | Warner Bros Discovery Inc |
$ SOLD | | $ -46.00K | | WY | com new | Weyerhaeuser Company |
$ SOLD | | $ -50.00K | | WHR | com | Whirlpool Corporation |
$ SOLD | | $ -57.00K | | DHS | us high dividend | Wisdomtree Us High Dividend Fund |
$ SOLD | | $ -14.00K | | DFE | europe smcp dv | Wisdomtree Europe Smallcap Dividend Fund |
$ SOLD | | $ -102.00K | | ACN | shs class a | Accenture Plc Cl-a Ordinary Sh |
$ SOLD | | $ -14.00K | | ETN | shs | Eaton Corp |
$ SOLD | | $ -43.00K | | MDT | shs | Medtronic Plc Ord Shs |
$ SOLD | | $ -1.00K | | PNR | shs | Pentair Plc |
$ SOLD | | $ -157.00K | | CB | com | Chubb Ltd |
$ SOLD | | $ -2.00K | | GRMN | shs | Garmin Ltd |
$ SOLD | | $ -2.00K | | TEL | shs | Te Connectivity Ltd |
$ SOLD | | $ -53.00K | | CHKP | ord | Check Point Softwr Technls Ltd |
$ SOLD | | $ -11.00K | | FLEX | ord | Flex Ltd |